Financials
Value 202020212022202320242025 TTM Cash from investing activities -43.7 M-24.5 M-35.4 M-34.5 M-47.6 M-62.7 M -60.6 M Cash from financing activities -40.6 M193.6 M-10.9 M-100.5 M-100.1 M-800 K -10.5 M Free cash flow 166.9 M-253.5 M40.6 M150.7 M170.7 M23.6 M 14.8 M