Financials
Value 202020212022202320242025 TTM Cash from investing activities -34.05 M39.89 M-67.87 M-30.21 M21.92 M-257.02 M -245.5 M Cash from financing activities -38.07 M6.71 M-91.07 M-68.14 M-59.03 M246.33 M 243.73 M Free cash flow 49.73 M97.73 M112.86 M101.47 M2.78 M10.73 M 34.92 M