Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.77 M47.65 M-2.86 M-114.78 M-119.71 M8.36 M -18.46 M Cash from financing activities -148.9 M-145.43 M8.97 M-119.05 M18.17 M73.84 M 70.73 M Free cash flow 89.19 M242.9 M61.68 M171.96 M96.69 M-126.42 M -67.76 M