Financials
Value 202020212022202320242025 TTM Cash from investing activities 214.24 M42.02 M106.59 M119.24 M354.61 M32.5 M 32.5 M Cash from financing activities 138.19 M26.34 M87.45 M8.18 M272.3 M96.3 M 96.3 M Free cash flow 102.58 M34.84 M96.81 M102.79 M110.38 M103.79 M 103.79 M