Financials
Value 20202021202220232024 TTM Cash from investing activities -186.78 M-31.44 M-541.28 M-57.85 M-92.81 M -231.21 M Cash from financing activities 214.33 M33.49 M368.59 M90.92 M30.49 M 179.1 M Free cash flow 33.19 M22.18 M41.19 M45.95 M47.29 M 60.08 M