Financials
Value 20212022202320242025 TTM Cash from investing activities -46.73 M-248.9 M-31.78 M-26.41 M153.88 M 64.11 M Cash from financing activities 384.37 M-26.7 M-25.58 M-56.75 M-150.79 M -51.96 M Free cash flow 25.21 M35.58 M41.19 M58.2 M37.06 M 27.06 M