Financials
Value 202020212022202320242025 TTM Cash from investing activities -123.56 M-161.66 M-111.19 M-13.71 M-46.59 M-113.61 M -108.93 M Cash from financing activities 161.19 M150.13 M1.99 M-2.57 M72.03 M69.33 M 35.1 M Free cash flow 25.07 M27.54 M36.09 M14.77 M12.17 M17.14 M 17.99 M