Financials
Value 202020212022202320242025 TTM Cash from investing activities -116.99 M-104.59 M-95 M-92.09 M-56.56 M-16.2 M 4.81 M Cash from financing activities 169.89 M85.86 M40.05 M26.46 M131.3 M17.27 M -14.54 M Free cash flow 13.58 M13.15 M15.74 M14.93 M15.77 M15.27 M 19.77 M