Financials
Value 202020212022202320242025 TTM Cash from investing activities -13.16 M-306.7 M-42.54 M-19.89 M-208.19 M-74.32 M -74.32 M Cash from financing activities -84.36 M204.75 M-60.15 M-97.85 M56.94 M276.33 M 276.33 M Free cash flow 129.72 M74.65 M71.14 M100.11 M141.35 M48.43 M 48.43 M