Financials
Value 20202021202220232024 TTM Cash from investing activities -23.35 M-159.1 M-129.34 M-31.71 M-23.95 M -209.83 M Cash from financing activities -6.98 M-65.09 M-102.2 M-107.71 M-147.95 M -165.09 M Free cash flow 88.49 M125.57 M211.59 M207.26 M157.07 M 205.26 M