Financials
Value 202020212022202320242025 TTM Cash from investing activities -181.09 M-61.62 M-54.64 M-75.84 M-27.37 M-142.62 M -142.62 M Cash from financing activities 57.35 M-60.38 M-134.57 M-31.7 M-18.82 M111.68 M 111.68 M Free cash flow 131.31 M164.85 M184.73 M55.56 M56.51 M67.51 M 67.51 M