Financials
Value 20202021202220232024 TTM Cash from investing activities 31.93 M-3.72 M-8.26 M9.04 M-62.39 M -27.51 M Cash from financing activities -148.32 M108.11 M39.53 M-227.77 M-110.91 M -132.63 M Free cash flow 138.58 M-131.2 M-45.75 M363.09 M104.06 M 129.03 M