Financials
Value 202020212022202320242025 TTM Cash from investing activities -230 M-151.55 M68.46 M55.35 M7.74 M-30.8 M -30.8 M Cash from financing activities 229.98 M207.08 M8.07 M-6.76 M10.06 M91.67 M 91.67 M Free cash flow 0-56.72 M-75.85 M-52.68 M-27.11 M-27.89 M -27.89 M