Financials
Value 202020212022202320242025 TTM Cash from investing activities -206.03 M-93.89 M-177.81 M269 M-252.94 M-15.97 M -15.97 M Cash from financing activities 245.83 M180.24 M-39.71 M-193.82 M200.95 M-64.64 M -64.64 M Free cash flow 35.59 M31.57 M33.14 M39.46 M58.62 M51.04 M 51.04 M