Financials
Value 202020212022202320242025 TTM Cash from investing activities 108.19 M71.15 M255.14 M527.21 M538 M405.15 M 405.15 M Cash from financing activities 14.1 M96.47 M153.12 M265.18 M68.51 M15.38 M 15.38 M Free cash flow 25.14 M293.65 M633.16 M176.32 M-120.83 M-182.31 M -172.95 M