Financials
Value 202020212022202320242025 TTM Cash from investing activities -129.49 M-58.52 M-136.6 M-66.08 M-87.39 M-65.47 M -140.72 M Cash from financing activities -29.11 M-156.16 M3.86 M-16.13 M39.48 M196.53 M 200.59 M Free cash flow 96.85 M164.22 M98.08 M49.6 M49.66 M106.96 M 111.5 M