Financials
Value 202020212022202320242025 TTM Cash from investing activities 24.17 M207.66 M148.54 M202.01 M77.68 M63.1 M 63.1 M Cash from financing activities 18.66 M152.83 M101.65 M139.12 M1.94 M-82.11 M -60.17 M Free cash flow 47.77 M18.22 M22.21 M-57.16 M-418 K59.85 M 59.85 M