Financials
Value 20212022202320242025 TTM Cash from investing activities -196.82 M-72.23 M-50.55 M-96.72 M-104.32 M -104.32 M Cash from financing activities 196.53 M38.46 M17.56 M54.52 M64.2 M 64.2 M Free cash flow 12.48 M31.2 M36.19 M45.28 M50.14 M 50.14 M