Financials
Value 202020212022202320242025 TTM Cash from investing activities -153.36 M41.94 M10.26 M28.59 M-35.39 M-12.83 M 5.97 M Cash from financing activities 110.47 M2.79 M142.87 M79.17 M-258 K-36.28 M -59.56 M Free cash flow -7.62 M-53.92 M-106.55 M-110.44 M6.88 M62.87 M 66.73 M