Financials
Value 202020212022202320242025 TTM Cash from investing activities -42.03 M-20.14 M-20.13 M-36.65 M-79.75 M-145.75 M -138.28 M Cash from financing activities -39.62 M-44.41 M-74.11 M-98.33 M-111.64 M-45.03 M 3.46 M Free cash flow 136.74 M17.99 M85.4 M135.26 M201.32 M193.39 M 138.05 M