Financials
Value 20202021202220232024 TTM Cash from investing activities 72.09 M87.52 M73.4 M13.73 M28.39 M 39.68 M Cash from financing activities 213.49 M65.1 M56.78 M86.11 M10.04 M 135.72 M Free cash flow 34.09 M-90.55 M62.46 M75.76 M79.85 M 66.35 M