Financials
Value 202020212022202320242025 TTM Cash from investing activities -186.56 M-125.93 M-1.16 M15.02 M42.79 M94.88 M 94.88 M Cash from financing activities 138.07 M122.14 M-18.49 M15.49 M-68.02 M-55.72 M -55.72 M Free cash flow 17.41 M13.91 M14.73 M23.06 M6.73 M9.05 M 9.05 M