Financials
Value 202020212022202320242025 TTM Cash from investing activities -26.23 M-57.63 M-33.24 M-237.27 M-26.7 M-121.03 M -6.7 M Cash from financing activities -58.1 M-43.54 M-72.19 M122.25 M-43.26 M52.54 M -30.68 M Free cash flow 91.18 M91.18 M116.86 M93.31 M112.02 M39.87 M 90.45 M