Financials
Value 20202021202220232024 TTM Cash from investing activities 38.18 M-12.04 M-16.36 M-6.94 M-9.39 M -10.09 M Cash from financing activities -62.75 M-215.98 M-86.01 M-65.11 M-160.43 M -240.06 M Free cash flow 124.57 M93.81 M127.35 M144.54 M131.73 M 123.48 M