Financials
Value 20202021202220232024 TTM Cash from investing activities 164.24 M303.24 M115.39 M35.27 M113.59 M 107.75 M Cash from financing activities 217.63 M323.57 M1.82 M88.44 M55.43 M 90.6 M Free cash flow -1.09 M4.68 M43.91 M22.74 M24.9 M 26.47 M