Financials
Value 202020212022202320242025 TTM Cash from investing activities 140.95 M-202.44 M-55.92 M-52.47 M-104.64 M-255.79 M -261.23 M Cash from financing activities -236.22 M81.47 M-32.12 M-78.33 M-773 K49.54 M 14.47 M Free cash flow 50.17 M96.43 M103.17 M54.51 M91.38 M205.62 M 239.53 M