Financials
Value 202020212022202320242025 TTM Cash from investing activities 215.96 M158.44 M109.25 M43.4 M22.14 M148.03 M 148.03 M Cash from financing activities 250.51 M49.13 M25.23 M85.66 M126.55 M245.26 M 245.26 M Free cash flow 44.6 M58.6 M73.06 M84.84 M111.47 M110.26 M 110.26 M