Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.69 M-28.07 M-18.44 M-19.51 M-30.37 M-46.19 M -53.9 M Cash from financing activities -42.72 M-60.86 M-19.49 M-111.56 M-125.23 M-159.29 M -163.4 M Free cash flow 119.07 M86.69 M43.06 M142.03 M148.43 M121.71 M 124.03 M