Financials
Value 202020212022202320242025 TTM Cash from investing activities -28.27 M-232.8 M78.34 M-14.15 M-25.92 M36.21 M 36.21 M Cash from financing activities -17.19 M-98.83 M-346.42 M-93.05 M-68.22 M-139.94 M -139.94 M Free cash flow 55.04 M183.6 M176.13 M44.88 M63.9 M87.12 M 87.12 M