Financials
Value 202020212022202320242025 TTM Cash from investing activities 46.39 M37.79 M47.97 M51.23 M43.79 M37.17 M 37.17 M Cash from financing activities 17.28 M85.1 M86.54 M117.24 M81.53 M89.87 M 89.87 M Free cash flow -57.22 M81.17 M100.29 M124.04 M93.28 M128.43 M 128.43 M