Financials
Value 20212022202320242025 TTM Cash from investing activities -208.03 M-17.29 M-14.72 M178.66 M-14.06 M -14.07 M Cash from financing activities 181.82 M3.18 M812 K-154.6 M21.59 M 19.7 M Free cash flow 797 K-7.86 M-6.1 M-20.68 M-33.1 M -29.66 M