Financials
Value 202020212022202320242025 TTM Cash from investing activities -20.03 M112.05 M-71.21 M-148.23 M-165.14 M-107.39 M -107.39 M Cash from financing activities -2.08 M-7.18 M-25.61 M-49.34 M29.57 M-96.72 M -96.72 M Free cash flow 11.18 M-65.37 M-9.7 M16.2 M25.9 M97.78 M 97.78 M