Financials
Value 202020212022202320242025 TTM Cash from investing activities -35.43 M-156.31 M-113.05 M-121.52 M396.15 M76.46 M 76.04 M Cash from financing activities 29.11 M102.1 M73.03 M75.65 M-367.36 M-104.41 M -134.4 M Free cash flow 16.13 M36.86 M33.36 M15.94 M28.08 M-4.45 M -1.22 M