Financials
Value 202020212022202320242025 TTM Cash from investing activities -137 M-21.36 M-349.53 M-4.34 M3 000-148.33 M -196.9 M Cash from financing activities 63.6 M62.24 M192.78 M-34.5 M-89.05 M34.62 M 73.25 M Free cash flow 33.58 M55.47 M35.77 M32.41 M80.87 M105.33 M 126.47 M