Financials
Value 202020212022202320242025 TTM Cash from investing activities -100.26 M-94.78 M-82.51 M1.14 M-1.73 M-221.38 M -221.38 M Cash from financing activities 39.35 M21.75 M16.15 M-61.36 M-56.29 M134.74 M 134.74 M Free cash flow 65.49 M70.13 M69.18 M60.37 M56.95 M88.15 M 88.15 M