Financials
Value 202020212022202320242025 TTM Cash from investing activities 105.05 M49.66 M159.01 M101.92 M107.13 M196.6 M 196.6 M Cash from financing activities 232.11 M30.3 M4.51 M2.55 M81.54 M20.21 M 20.21 M Free cash flow 161.7 M295.3 M16.21 M181.78 M228.65 M183.99 M 183.99 M