Financials
Value 20202021202220232024 TTM Cash from investing activities -24.14 M-64.04 M-49.62 M-51.69 M-161.48 M -148.96 M Cash from financing activities -202.38 M-58.15 M-162.99 M-44.51 M58.38 M 72.39 M Free cash flow 150.05 M69.97 M200.15 M104.56 M103.18 M 81.06 M