Financials
Value 20202021202220232024 TTM Cash from investing activities 148.14 M53.4 M350.99 M73.49 M90.06 M 74.31 M Cash from financing activities 121.07 M25.21 M251.46 M38.99 M110.08 M 125.3 M Free cash flow 10.16 M32.98 M42.75 M26.25 M15.93 M 14.3 M