Financials
Value 202020212022202320242025 TTM Cash from investing activities -95.47 M-94.66 M-43.09 M-4.55 M-13.58 M-13.41 M -15.27 M Cash from financing activities -10.73 M-22.2 M-27.92 M-41.86 M-58.55 M-40.37 M -17.78 M Free cash flow 106.97 M55.24 M62.08 M73.27 M77.83 M74.5 M 73.66 M