Financials
Value 202020212022202320242025 TTM Cash from investing activities -14.6 M-289.58 M-28.93 M-15.5 M-17.64 M-36.17 M -25.23 M Cash from financing activities 168.63 M96.91 M8.46 M-48.65 M18.47 M-4.1 M 189.84 M Free cash flow 38.26 M15.27 M31.45 M57.63 M27.88 M-6.28 M -25.61 M