Financials
Value 202020212022202320242025 TTM Cash from investing activities 6.13 M2.58 M2.09 M2.28 M—— — Cash from financing activities -49.64 M-55.81 M-136.69 M-135.85 M-151.88 M-136.94 M -136.94 M Free cash flow 39.41 M70.31 M147.05 M139.84 M132.64 M132.49 M 132.49 M