Financials
Value 20212022202320242025 TTM Cash from investing activities -67.38 M-126.98 M81.94 M-41.58 M-50.16 M -50.16 M Cash from financing activities 336.19 M5.24 M-4.48 M82.53 M105.95 M 105.95 M Free cash flow -98.64 M-97.51 M-65.5 M-72.81 M-94.03 M -94.03 M