Financials
Value 202020212022202320242025 TTM Cash from investing activities -67.97 M-48.99 M-232.02 M-179.31 M-49.82 M-46.76 M -46.76 M Cash from financing activities 78.06 M-9.22 M253.22 M9.01 M-38.48 M-76.22 M -76.22 M Free cash flow 35.84 M-58.7 M-22.71 M4.21 M103.56 M87.79 M 87.79 M