Financials
Value 202020212022202320242025 TTM Cash from investing activities -32.46 M75.46 M-279.27 M321.81 M-13.22 M-20.79 M -20.79 M Cash from financing activities 90.29 M-160.29 M-92.31 M-92.42 M-200.03 M-254.27 M -254.27 M Free cash flow 78.07 M118.47 M102.55 M109.11 M54.11 M73.44 M 73.44 M