Financials
Value 20202021202220232024 TTM Cash from investing activities -38.14 M-187.47 M-278.6 M53.56 M-105.2 M 32.73 M Cash from financing activities 102.11 M182.47 M198.18 M-123.4 M70.78 M -64.48 M Free cash flow 15.42 M33.78 M19.32 M24.14 M17.99 M 33.55 M