Financials
Value 202020212022202320242025 TTM Cash from investing activities -110.73 M-158.23 M-362.45 M59.47 M-69.07 M-40.08 M -40.08 M Cash from financing activities 149.1 M223.66 M182.59 M-59.4 M25.27 M-4.37 M -4.37 M Free cash flow 10.88 M37.59 M31.61 M23.92 M31.87 M35.24 M 35.24 M