Financials
Value 202020212022202320242025 TTM Cash from investing activities -22.33 M-187.87 M-132.76 M7.26 M-44.83 M-61.15 M -101.26 M Cash from financing activities -18.64 M78.19 M-45.57 M-133.21 M-100.77 M-131.25 M -143.21 M Free cash flow 64.99 M-21.69 M-32.95 M-48.23 M187.64 M166.7 M 194.94 M