Financials
Value 202020212022202320242025 TTM Cash from investing activities 421 K306 K624 K587.77 M205.34 M174.31 M 174.31 M Cash from financing activities 50.55 M77.92 M620.24 M86.51 M381.23 M617.53 M 617.53 M Free cash flow 47.68 M72.28 M40.96 M76.63 M141.97 M322.27 M 322.27 M