Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.88 M-3.21 M5.52 M-99.89 M-39.49 M-400.92 M -405.81 M Cash from financing activities -57.07 M-184.65 M-215.83 M-200.94 M-167.91 M157.15 M 209.47 M Free cash flow 44.21 M159.46 M267.88 M229.24 M198.1 M162.2 M 125.69 M