Financials
Value 202020212022202320242025 TTM Cash from investing activities -53.24 M-34.08 M-94.44 M-170.64 M-81.64 M-128.25 M -95.03 M Cash from financing activities -155.41 M-189.81 M-127.82 M-44.63 M-72.5 M-66.74 M -45.62 M Free cash flow 176.86 M196.7 M176.19 M180.29 M101.16 M114.3 M 61.89 M