Financials
Value 202020212022202320242025 TTM Cash from investing activities -60.8 M-110.66 M-24.08 M-6.25 M-109.53 M-6.37 M 30.49 M Cash from financing activities 42.15 M24.38 M25.06 M-65.93 M20.9 M-28.43 M -150.18 M Free cash flow 51.41 M56.79 M27.18 M56.25 M68.4 M134.95 M 132.38 M