Financials
Value 202020212022202320242025 TTM Cash from investing activities -94.22 M-104.29 M-349.75 M-384.13 M-155.1 M-149.81 M -149.81 M Cash from financing activities -125.17 M-7.28 M26.26 M-46.12 M-80.11 M-40.91 M -40.91 M Free cash flow 38.52 M11.19 M-19.25 M3.87 M112 M45.29 M 45.29 M