Financials
Value 202020212022202320242025 TTM Cash from investing activities 43.17 M112.2 M140.91 M120.14 M115.69 M144.61 M 144.61 M Cash from financing activities 6.26 M5.86 M1.66 M89.93 M32.09 M98.92 M 98.92 M Free cash flow 31.33 M-67.65 M-141.35 M-103.42 M-55.08 M99.46 M 99.46 M