Financials
Value 20212022202320242025 TTM Cash from investing activities -158.61 M-39.98 M-84.25 M-44.84 M-105.38 M -105.38 M Cash from financing activities 264.39 M-7.88 M6.49 M-129.45 M-143.95 M -143.95 M Free cash flow 73.35 M54.88 M102.73 M132.51 M172.65 M 172.65 M