Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.91 M-190.01 M-207.58 M-82.25 M-124.83 M-88.33 M -83.08 M Cash from financing activities 204.61 M103.97 M150.51 M112.84 M50.85 M67.57 M 83.4 M Free cash flow -7.06 M29.19 M29.03 M9.19 M12.15 M15.97 M 14.51 M