Financials
Value 20212022202320242025 TTM Cash from investing activities 329.12 M28.72 M38.52 M70.79 M271.11 M 271.11 M Cash from financing activities 1.3 B79.49 M261.79 M186.91 M347.32 M 347.32 M Free cash flow 54.23 M9.05 M8.45 M36.96 M132.36 M 132.36 M