Financials
Value 202020212022202320242025 TTM Cash from investing activities 18.15 M11.63 M25.54 M654.79 M35.39 M39.06 M 39.06 M Cash from financing activities 40.21 M39.39 M47.38 M103.28 M70.14 M69.06 M 69.06 M Free cash flow 143.38 M63.76 M117.88 M340.28 M316.11 M258.42 M 258.42 M