Financials
Value 20202021202320242025 TTM Cash from investing activities 173.27 M17.37 M47.32 M245.95 M87.33 M 87.33 M Cash from financing activities 245.62 M63.48 M22.04 M141.1 M66.05 M 66.05 M Free cash flow 82 M92.79 M-49.47 M-77.97 M56.38 M 56.38 M