Financials
Value 202020212022202320242025 TTM Cash from investing activities -34.69 M-12.67 M-40.46 M-37.64 M-117.85 M-68.31 M -68.31 M Cash from financing activities -103.92 M-64.01 M-37.17 M144.25 M30.82 M46.7 M 46.7 M Free cash flow 139.07 M63.81 M94.81 M-87.5 M97.59 M245.33 M 245.33 M