Financials
Value 202020212022202320242025 TTM Cash from investing activities -451.98 M-457.24 M-295.64 M-324.46 M-396.72 M-331.43 M -331.43 M Cash from financing activities -73.72 M-81.52 M-162.1 M-171.55 M-225.34 M-77.47 M -77.47 M Free cash flow 318.11 M55.51 M163 M256.84 M349.22 M294.56 M 294.56 M