Financials
Value 202020212022202320242025 TTM Cash from investing activities 19.35 M10.55 M3.83 M14.76 M50.7 M210.6 M 210.6 M Cash from financing activities 47.44 M14.09 M10.75 M40.58 M142.18 M527.94 M 527.94 M Free cash flow 27.73 M3.21 M10.31 M-1.74 M25.61 M-5.1 M -5.1 M