Financials
Value 202020212022202320242025 TTM Cash from investing activities -105.56 M-97.23 M201.04 M-29.31 M-99.19 M70.5 M 70.5 M Cash from financing activities 33.54 M6.81 M-118.08 M1.92 M-1.6 M-99.4 M -99.4 M Free cash flow 54.38 M43.61 M-24.73 M-76.16 M-46.35 M31.9 M 31.9 M