Financials
Value 202020212022202320242025 TTM Cash from investing activities -18.32 M-114.27 M-96.55 M-12 M-119.1 M-49.26 M 17.03 M Cash from financing activities -89.56 M-146.88 M-81.72 M-181.45 M-119.1 M-312.76 M -360.77 M Free cash flow 202.97 M184.39 M166.14 M211.2 M268.52 M350.72 M 349.19 M