Financials
Value 202020212022202320242025 TTM Cash from investing activities 33.22 M-37.6 M-36.75 M-56.92 M-201.6 M-59.65 M -57.95 M Cash from financing activities -38.56 M13.95 M-61.31 M-56.02 M64.55 M17.45 M 25.02 M Free cash flow 57.23 M10.73 M160.68 M179.35 M141.49 M-24.59 M -30.75 M