Financials
Value 202020212022202320242025 TTM Cash from investing activities -110.54 M101.64 M54.21 M-8.55 M32.6 M-6.39 M -28.45 M Cash from financing activities -9.69 M-191.41 M-87.26 M704 K-24.6 M-37.34 M -18.27 M Free cash flow 138.41 M134.95 M-379 K14.76 M20.7 M53.47 M 47.46 M