Financials
Value 202020212022202320242025 TTM Cash from investing activities -108.8 M-158.7 M-193.7 M-61.4 M-5.6 M-223.9 M -220.4 M Cash from financing activities -18.3 M-23.1 M-16.8 M-21.6 M-126.6 M-133.8 M -108.3 M Free cash flow 192.4 M87.2 M-400 K58.6 M127.2 M37.6 M 17.2 M