Financials
Value 202020212022202320242025 TTM Cash from investing activities -50.91 M-68.61 M-112.81 M-153.5 M-161.1 M-147.26 M -147.6 M Cash from financing activities 143.69 M-108.83 M-123.64 M-123.53 M-78.79 M-22.78 M -72 M Free cash flow -47.42 M146.06 M49.46 M66.84 M107.96 M155.08 M 172.32 M