Financials
Value 202020212022202320242025 TTM Cash from investing activities -455.08 M2.83 M-133.45 M30.85 M-1.44 M-39.06 M -29.08 M Cash from financing activities 346.89 M207.03 M-120 M-52.77 M-131.27 M-29.07 M -59.79 M Free cash flow 4.52 M40.8 M34.91 M39 M83.88 M89.49 M 101.34 M