Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.44 M-34.54 M-189.26 M-59.79 M-124.15 M-100.55 M -97.44 M Cash from financing activities 74.19 M-11.88 M106.59 M-35.24 M22.65 M-35.06 M -49.27 M Free cash flow -3.71 M110.75 M108 M132.53 M121.19 M150.88 M 148.87 M