Financials
Value 20202021202220232024 TTM Cash from investing activities -64.02 M-42.58 M-9.13 M-14.85 M-11.31 M -14.69 M Cash from financing activities 97.04 M235.43 M-29.34 M-40.86 M17.36 M -32.99 M Free cash flow -115.44 M-338.31 M-19.38 M15.24 M-11.67 M -2.28 M