Financials
Value 202020212022202320242025 TTM Cash from investing activities -35.89 M-29.43 M-41.52 M-38.6 M-82.03 M141.3 M 141.24 M Cash from financing activities -28.4 M-25.11 M-41.76 M-82.24 M9.99 M-129.83 M -127.92 M Free cash flow 74.33 M62.97 M64.48 M141.59 M51.29 M49.2 M 28.17 M