Financials
Value 202020212022202320242025 TTM Cash from investing activities —-119.48 M-41.83 M-17.65 M-14.23 M151.19 M 176.09 M Cash from financing activities —270.53 M26.37 M23.91 M19 M-74.9 M -112.82 M Free cash flow —-57.99 M-47.82 M-23.62 M-18.45 M-59.83 M -77.61 M