Financials
Value 20202021202220232024 TTM Cash from investing activities -25.24 M-29.84 M-34.91 M-35.04 M-29.17 M 267.69 M Cash from financing activities -45.09 M73.46 M-110.11 M-26.59 M-20.08 M -261.68 M Free cash flow 70.57 M-36.37 M130.56 M53.14 M49.62 M -2.1 M