Financials
Value 202020212022202320242025 TTM Cash from investing activities 174.59 M-64.52 M80.13 M-16.33 M-39.51 M59.91 M -14.64 M Cash from financing activities -184.17 M-15.36 M-163.8 M-27.36 M-20.36 M-20.44 M -20.48 M Free cash flow 32.67 M90.8 M44.24 M42.89 M38.84 M9.06 M -11.2 M