Financials
Value 202020212022202320242025 TTM Cash from investing activities 37.44 M-67.57 M-55.02 M-91.62 M47.85 M-91.57 M -91.57 M Cash from financing activities -56.91 M-222.69 M-190.74 M-17.4 M-177.55 M71.22 M 71.22 M Free cash flow 32.32 M229.53 M185.76 M89.08 M123.85 M28.71 M 28.71 M