Financials
Value 202020212022202320242025 TTM Cash from investing activities -314.54 M-136.86 M-237.65 M-84.19 M-87.07 M132.94 M 132.94 M Cash from financing activities 319.11 M182.57 M141.32 M143.89 M19.47 M-117.51 M -117.51 M Free cash flow 10.02 M9.14 M12.99 M16.3 M16.88 M-2.76 M -2.76 M