Financials
Value 202020212022202320242025 TTM Cash from investing activities -46.36 M-37.34 M-65.64 M-78.25 M-40.69 M-257.31 M -277.23 M Cash from financing activities 123.34 M-54.66 M-78.9 M-109.38 M-393.35 M-184.75 M -84.83 M Free cash flow 117.99 M-187.05 M147.19 M255.52 M466.13 M567.21 M 703.32 M