Financials
Value 20202021202220232024 TTM Cash from investing activities 43.37 M70.96 M75.43 M43.88 M72.37 M 71.44 M Cash from financing activities 88.83 M99.97 M112.87 M96.51 M91.2 M 91.63 M Free cash flow 62.48 M36.68 M26.11 M29.29 M23.35 M 9.29 M