Financials
Value 202020212022202320242025 TTM Cash from investing activities 160.14 M70.65 M22.12 M46.98 M-27.95 M8.97 M 8.97 M Cash from financing activities -201.34 M-261.17 M-102.87 M-135.51 M-68.85 M-139.84 M -139.84 M Free cash flow 20.8 M87.89 M-4.6 M56.46 M50.78 M62.9 M 62.9 M