Financials
Value 202020212022202320242025 TTM Cash from investing activities —-2.77 M-117.88 M15.07 M64.76 M7.53 M 7.53 M Cash from financing activities —288.45 M-4.07 M25.65 M174 K43.46 M 43.46 M Free cash flow —-54.62 M-95.8 M-60.69 M-79.51 M-53.67 M -53.67 M