Financials
Value 20202021202220232024 TTM Cash from investing activities -39.09 M-31.04 M41.56 M-61.63 M-503.43 M 38.11 M Cash from financing activities -31.73 M-69.43 M-40.04 M-69.2 M380.49 M -127.77 M Free cash flow 61.83 M53.83 M66.53 M72.36 M41.25 M 54.3 M