Financials
Value 202020212022202320242025 TTM Cash from investing activities -280.08 M38.19 M-581.57 M172.31 M-134.54 M-118.32 M -69.64 M Cash from financing activities 353.6 M366.01 M811 K121.89 M175.09 M-48.35 M -52.72 M Free cash flow 18.43 M-7.5 M52.65 M22.71 M46.89 M59.22 M 70.95 M