Financials
Value 202020212022202320242025 TTM Cash from investing activities -57.22 M-71.99 M-165.67 M-17.39 M-28.95 M-68.08 M -68.08 M Cash from financing activities 146.94 M63.55 M18.41 M-1.45 M22.46 M89.66 M 89.66 M Free cash flow 21.93 M14.83 M23.67 M13.03 M8.22 M21.44 M 21.44 M