Financials
Value 202020212022202320242025 TTM Cash from investing activities -292.35 M-2.01 M-270.99 M-153.25 M60.99 M-181.96 M -181.96 M Cash from financing activities 331.47 M44.65 M86.91 M113.89 M87.76 M8.13 M 8.13 M Free cash flow 28.87 M39.56 M35.3 M41.41 M33.38 M70.5 M 70.5 M