Financials
Value 20202021202220232024 TTM Cash from investing activities 95.49 M16.54 M-7.11 M-65.52 M-192.4 M -571.27 M Cash from financing activities -51.7 M-47.75 M-20.09 M3.42 M135.15 M 580.42 M Free cash flow 45 M51.11 M59.19 M39.7 M44.17 M 96.96 M