Financials
Value 20202021202220232024 TTM Cash from investing activities 37.81 M172 M35.06 M43.85 M27.48 M 30.12 M Cash from financing activities 15.22 M185.24 M128.29 M29.3 M23.28 M 10.37 M Free cash flow 62.8 M84.74 M113.38 M28.68 M11.88 M 48.93 M