Financials
Value 202020212022202320242025 TTM Cash from investing activities -19.55 M-298.69 M-46.4 M-28.18 M-16.31 M68.44 M 68.44 M Cash from financing activities -86.2 M210.36 M-106.51 M-99.97 M-73.08 M-160.18 M -160.18 M Free cash flow 67.43 M53.61 M130.97 M82.45 M61.46 M55.77 M 55.77 M