Financials
Value 202020212022202320242025 TTM Cash from investing activities 5.2 M-38.07 M11.09 M13.61 M-48.35 M-243.64 M -217.57 M Cash from financing activities -22.95 M-16.38 M-88.14 M-28.85 M-44.26 M134.75 M -38.3 M Free cash flow 55.29 M50.1 M66.1 M44.51 M90.49 M84.89 M 69.92 M