Financials
Value 202020212022202320242025 TTM Cash from investing activities 40.38 M238.62 M113.12 M47.9 M45.6 M14.8 M 14.8 M Cash from financing activities 104.19 M159.06 M10.1 M190.3 M50.1 M53.9 M 53.9 M Free cash flow 124.67 M53.24 M12.67 M74.4 M71 M71.1 M 71.1 M