Financials
Value 202020212022202320242025 TTM Cash from investing activities 25.22 M18.71 M32.96 M128.44 M420.59 M62.01 M 62.01 M Cash from financing activities 55.12 M71.86 M45.88 M16.15 M385.16 M127.48 M 127.48 M Free cash flow 75.07 M54.58 M64.84 M109.66 M51.73 M102.25 M 102.25 M