Financials
Value 202020212022202320242025 TTM Cash from investing activities -58.67 M-173.91 M-186.18 M-182.7 M-390.05 M-513.18 M -513.18 M Cash from financing activities -137.3 M-76.14 M-32.26 M-612 K-2.16 M-11.81 M -11.81 M Free cash flow 373.25 M275.68 M272.51 M376.67 M347.19 M564.27 M 564.27 M