Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.02 M-33.9 M-59.93 M-60 M-41.13 M-62.05 M -58.57 M Cash from financing activities -3.16 M-101.17 M-45.53 M-47.58 M-47 M-13.32 M -80.63 M Free cash flow 157.74 M239.87 M-164.88 M94.8 M87.89 M145.76 M 144.02 M