Financials
Value 202020212022202320242025 TTM Cash from investing activities -103.75 M-68.63 M-68.01 M-357.25 M-45.25 M-34.95 M -4.47 M Cash from financing activities 11.12 M-3.39 M-1.59 M301.26 M6.74 M-74.94 M -79.96 M Free cash flow 33.24 M49.84 M11.33 M70.88 M87.71 M140.07 M 173.9 M