Financials
Value 202020212022202320242025 TTM Cash from investing activities -133.79 M79.19 M-262.94 M-34.89 M-80.07 M-173.07 M -173.07 M Cash from financing activities 364.26 M20.12 M-194.91 M10.1 M86.06 M68.86 M 68.86 M Free cash flow 36.27 M38.58 M43.3 M23.02 M35.04 M38.96 M 38.96 M