Financials
Value 202020212022202320242025 TTM Cash from investing activities 167.69 M368.74 M524.02 M98.18 M144.16 M357.31 M 357.31 M Cash from financing activities 119.49 M189.88 M730.08 M158.82 M290.8 M510.47 M 510.47 M Free cash flow 123.33 M9.28 M112.73 M163.82 M129.39 M32.99 M 73.26 M