Financials
Value 20202022202320242025 TTM Cash from investing activities -88.2 M-80 M-179.8 M-116.1 M-50 M -32.7 M Cash from financing activities -96.2 M-14.3 M64 M83.1 M-108.3 M -118.8 M Free cash flow 90.3 M23.8 M-48.3 M-99.8 M128 M 100.4 M