Financials
Value 202020212022202320242025 TTM Cash from investing activities -74.9 M-147.48 M-87.53 M-9.49 M-6.23 M-10.25 M -6.47 M Cash from financing activities -1.76 M1.02 B276 K-550 K45.78 M223.41 M 184.54 M Free cash flow -97.69 M-437.33 M-390.72 M-118.39 M-109.83 M-157.24 M -120.01 M