Financials
Value 202020212022202320242025 TTM Cash from investing activities -72.54 M-130.82 M-109.63 M-35.74 M-36.44 M86.1 M 86.1 M Cash from financing activities -18.99 M21.85 M-29.61 M-9.9 M-15.5 M-41.8 M -41.8 M Free cash flow 128.74 M218.87 M20.47 M25.71 M29.67 M-68.64 M -68.64 M