Financials
Value 20202021202220232024 TTM Cash from investing activities 586 K79 K248 K30.48 M85.06 M 55.04 M Cash from financing activities 49.94 M27.77 M32 K116.41 M240.53 M 227.65 M Free cash flow 11.55 M18.15 M28.44 M6.74 M103.62 M 178.21 M