Financials
Value 202020212022202320242025 TTM Cash from investing activities 815.51 M53.07 M56.95 M48.18 M35.41 M18.3 M 18.3 M Cash from financing activities 4.16 M760.12 M487.55 M25.71 M14.48 M107.49 M 107.49 M Free cash flow 175.83 M44.49 M137.23 M104 M184.55 M252.63 M 252.63 M