Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.53 M-28.11 M-10.07 M-18.84 M-31.83 M-26.51 M -38.95 M Cash from financing activities 54.76 M-251.27 M-215.07 M-113.66 M-70.38 M-4.86 M -154.34 M Free cash flow 68.17 M178.8 M216.51 M92.06 M148.77 M175.04 M 186.33 M