Financials
Value 202020212022202320242025 TTM Cash from investing activities 62.77 M108.76 M229.8 M199.66 M125.47 M156.68 M 156.68 M Cash from financing activities 109.93 M109.34 M232.31 M197.61 M126.83 M159.77 M 159.77 M Free cash flow 1.26 M3.38 M10.04 M6.21 M14.62 M16.95 M 16.95 M