Financials
Value 202020212022202320242025 TTM Cash from investing activities -135.44 M-170.49 M-221.5 M-215.4 M-308.27 M-362.09 M -362.09 M Cash from financing activities 123.23 M224.38 M197.67 M174.09 M227.17 M411.81 M 411.81 M Free cash flow 12.45 M27.14 M37.56 M39.4 M39.06 M54.26 M 54.26 M