Financials
Value 202020212022202320242025 TTM Cash from investing activities -105.62 M-79.38 M-88.21 M-90.18 M-74.62 M-100.96 M -102.69 M Cash from financing activities 16.17 M39.48 M27.15 M35.96 M17.73 M38.61 M 43.2 M Free cash flow 53.35 M33.03 M61.36 M52.78 M58.73 M62.6 M 60.55 M