Financials
Value 202020212022202320242025 TTM Cash from investing activities -245.34 M-268.64 M-127.38 M19.06 M71.98 M44.21 M 6.41 M Cash from financing activities 205.83 M154.13 M44.91 M-11.05 M-40.15 M-40.02 M -74.23 M Free cash flow 29.71 M30.54 M21.23 M19.21 M14.3 M20.7 M 21.73 M