Financials
Value 202020212022202320242025 TTM Cash from investing activities 142.75 M-6.06 M-410.58 M-62.29 M-141.88 M88.71 M 66.79 M Cash from financing activities -11.82 M-30.03 M194.88 M17.43 M66.83 M-128.31 M -116.68 M Free cash flow 38.17 M60.48 M57.6 M47.4 M52.37 M48.28 M 43.98 M