Financials
Value 202020212022202320242025 TTM Cash from investing activities 158.19 M103.87 M60.63 M6.71 M39.26 M32.77 M 32.77 M Cash from financing activities 194.38 M221.11 M2.43 M5.13 M49.09 M106.11 M 106.11 M Free cash flow 68.1 M156.49 M79.53 M33.46 M44.39 M135.66 M 135.66 M