Financials
Value 202020212022202320242025 TTM Cash from investing activities -114.85 M60.52 M-331.72 M15.44 M2.43 M64.65 M 64.65 M Cash from financing activities 374.37 M208.13 M-249.45 M-158.24 M-60.91 M-99.9 M -99.9 M Free cash flow 24.42 M40.55 M37.39 M39.43 M38.82 M52.57 M 52.57 M