Financials
Value 202020212022202320242025 TTM Cash from investing activities 93.1 M-106.78 M-351.82 M-94.26 M-505.6 M246.53 M 246.53 M Cash from financing activities -56.77 M-57.48 M336.09 M80.08 M473.61 M-334.05 M -334.05 M Free cash flow 68.77 M84.92 M81.41 M29.1 M10.1 M55.8 M 55.8 M