Financials
Value 202020212022202320242025 TTM Cash from investing activities -74.12 M-135.73 M-123.61 M14.7 M74.75 M21.16 M 21.16 M Cash from financing activities 140.78 M106.69 M68.11 M-31 M-67.86 M31.6 M 31.6 M Free cash flow 12.98 M5.88 M13.66 M6.47 M7.68 M10.89 M 10.89 M