Financials
Value 20202021202220232024 TTM Cash from investing activities 94.47 M38.84 M394.85 M144.75 M95.4 M 125.14 M Cash from financing activities 879 K252.3 M44.02 M59.3 M127.05 M 117.05 M Free cash flow 13.59 M44.55 M73.23 M119.99 M134.98 M 144.62 M