Financials
Value 202020212022202320242025 TTM Cash from investing activities -80.05 M-175.22 M-44.91 M-57.75 M61.39 M52.05 M 51.57 M Cash from financing activities 77.34 M143.8 M24.23 M54.07 M-158.61 M-100.58 M -95.34 M Free cash flow 13.68 M17.82 M25.24 M20.7 M93.24 M33.44 M 34.06 M