Financials
Value 20202021202220232025 TTM Cash from investing activities -94.45 M-106.82 M44.03 M-18.68 M-29.56 M -29.56 M Cash from financing activities 115.86 M46.7 M-50.8 M-31.09 M-28.94 M -28.94 M Free cash flow -104.8 M-68.05 M-31.28 M18.1 M18.81 M 18.81 M