Financials
Value 202020212022202320242025 TTM Cash from investing activities -105.1 M-39.19 M-129.94 M-232.65 M-202.01 M-114.96 M -114.96 M Cash from financing activities -188.11 M-226.24 M-130.61 M-39.26 M-139.32 M-270.75 M -270.75 M Free cash flow 184.13 M220.21 M126.37 M33.36 M136.48 M276.99 M 276.99 M