Financials
Value 202020212022202320242025 TTM Cash from investing activities 158.53 M62.16 M28.03 M5.67 M48.17 M137.15 M 137.15 M Cash from financing activities 2.01 M166.48 M213.83 M74.37 M191.24 M217.96 M 217.96 M Free cash flow 121.77 M145.57 M173.15 M130.44 M73.38 M74.72 M 115.67 M