Financials
Value 20202021202220232024 TTM Cash from investing activities 713.86 K63.61 M81.58 M15.21 M68.33 M 151.28 M Cash from financing activities 317.58 M275.02 M5.05 M29.05 M55.66 M 144.7 M Free cash flow 1.4 M52.6 M32.78 M2.15 M-9.29 M 5.46 M