Financials
Value 202020212022202320242025 TTM Cash from investing activities -56.17 M-55.87 M-116.89 M-203.68 M-188.73 M-95.81 M -78.34 M Cash from financing activities -9.26 M-74.77 M-5.58 M81.08 M69.4 M-5.54 M -17.54 M Free cash flow 78.38 M118.38 M121.15 M117.73 M121.22 M3.86 M 20.28 M