Financials
Value 202020212022202320242025 TTM Cash from investing activities -201.47 M-190.98 M-331.34 M-130.28 M16.75 M-965 K -11.81 M Cash from financing activities 236.73 M160.91 M320.35 M194.87 M19.3 M-754 K -87.62 M Free cash flow 11.01 M14.22 M13.81 M6.88 M18.76 M24.35 M 23.17 M