Financials
Value 202020212022202320242025 TTM Cash from investing activities -47.62 M-27.44 M-95.08 M-81.61 M-118.18 M21.86 M 21.86 M Cash from financing activities -49.6 M100.27 M-28.89 M-321.74 M-8.56 M-69.04 M -69.04 M Free cash flow 87.43 M100.94 M246.42 M46.66 M-58.45 M27.88 M 76.53 M