Financials
Value 202020212022202320242025 TTM Cash from investing activities -154.67 M37.45 M-335.16 M-170.22 M-45.8 M-8.25 M -18.15 M Cash from financing activities 292.25 M198.66 M45.22 M-48.81 M58.78 M56.79 M 61.65 M Free cash flow 31.87 M28.74 M25.59 M29.89 M21.71 M28.42 M 37.56 M