Financials
Value 202020212022202320242025 TTM Cash from investing activities 229.07 M264.92 M270.9 M312.79 M272.92 M325.25 M 325.25 M Cash from financing activities 143.6 M137.74 M148.9 M146.18 M108.11 M141.03 M 141.03 M Free cash flow -139.07 M-145.97 M-154.27 M-175.96 M-128.91 M-133.22 M -133.22 M