Financials
Value 202020212022202320242025 TTM Cash from investing activities -9 332-57.16 K-28.1 K2000— -387.69 M Cash from financing activities 554 K3.14 M19.7 M00— 405.78 M Free cash flow 818.04 K-3.21 M-3.19 M-6.13 M-3.06 M-1.2 M -26.62 M