Financials
Value 202020212022202320242025 TTM Cash from investing activities -44.46 M9.94 M-296.17 M-93.24 M-77.67 M-70.05 M -66.11 M Cash from financing activities -43.46 M-24.67 M22.22 M-66.84 M-68.37 M-64.71 M -97.66 M Free cash flow 92.14 M101.5 M26.06 M172.28 M173.07 M165.13 M 169.3 M