Financials
Value 202020212022202320242025 TTM Cash from investing activities 176.07 M13.3 M-7.24 M11.34 M-13.95 M-46 M -14.14 M Cash from financing activities -238.93 M-81.52 M-52.2 M-53.13 M-56.27 M-81.46 M -135.26 M Free cash flow -15.21 M42.16 M43.32 M68.2 M69.91 M91.94 M 112.3 M