Financials
Value 202020212022202320242025 TTM Cash from investing activities 40.03 M8.77 M43.87 M200.53 M195.79 M159.01 M 159.01 M Cash from financing activities 6.25 M13.7 M7.86 M11.07 M309.88 M99.36 M 99.36 M Free cash flow 35.17 M23.91 M77.15 M185.17 M173.7 M191.78 M 191.78 M