Financials
Value 202020212022202320242025 TTM Cash from investing activities -41.42 M1.23 B-142.81 M197.31 M-149.69 M-174.5 M -174.5 M Cash from financing activities -83.74 M-1.4 B1.34 M-137.13 M-145.5 M47.8 M 47.8 M Free cash flow 84.04 M111.66 M113.23 M125.75 M129.86 M110.86 M 110.86 M