Financials
Value 202020212022202320242025 TTM Cash from investing activities -16.71 M-39.45 M-84.38 M-97.05 M-24.6 M-49.4 M -32.4 M Cash from financing activities -67.73 M-127.2 M-51.49 M-31.75 M-115.96 M-96.62 M -113.54 M Free cash flow 138.62 M138 M128.51 M136.72 M152.52 M125.73 M 127.38 M