Financials
Value 202020212022202320242025 TTM Cash from investing activities 163.93 M-222.39 M-180.56 M96.53 M127.59 M136.35 M 136.35 M Cash from financing activities -141.46 M195.91 M134.19 M-87.99 M-135.16 M-133.18 M -133.18 M Free cash flow 12 M11.64 M18.52 M16.2 M17.98 M11.39 M 11.39 M