Financials
Value 20202021202220232024 TTM Cash from investing activities 123.49 M273.76 M9.51 M244.67 M322.99 M 299.68 M Cash from financing activities 31.75 M73.73 M115.19 M113.41 M6.29 M 46.36 M Free cash flow 133.47 M201.55 M452.35 M57.42 M236.72 M 187.16 M