Financials
Value 202020212022202320242025 TTM Cash from investing activities 146.24 M69.67 M33.4 M158.46 M502.56 M69.98 M 69.98 M Cash from financing activities 128.75 M145.45 M97.17 M362.72 M677.55 M29.78 M 29.78 M Free cash flow 54.97 M53.13 M83.73 M112.86 M243.73 M68.73 M 68.73 M