Financials
Value 202020212022202320242025 TTM Cash from investing activities -19.28 M-8.27 M-138.29 M-18.66 M-22.84 M-16.34 M -14.66 M Cash from financing activities -52.58 M-96 M-44.84 M25.11 M-125.31 M-45.06 M -38.33 M Free cash flow 78.56 M131.79 M17.6 M132.87 M162.72 M120.41 M 167.43 M