Financials
Value 20202021202220232024 TTM Cash from investing activities -38.8 M-74.8 M-90.47 M-46.52 M-14.7 M -47.63 M Cash from financing activities -53.08 M103.74 M99.18 M8.97 M-160.87 M -31.8 M Free cash flow 130.09 M-83.18 M-13.8 M73.22 M150.26 M 55.07 M