Financials
Value 202020212022202320242025 TTM Cash from investing activities 144.94 M214.7 M232.8 M172.8 M206.7 M161 M 161 M Cash from financing activities 13.54 M73.3 M149.3 M197.1 M89.3 M41.2 M 41.2 M Free cash flow -19.66 M-69.5 M-151.8 M173.1 M-81.4 M54.8 M 54.8 M