Financials
Value 202020212022202320242025 TTM Cash from investing activities -998.34 K-964.2 K-556.56 K-1.52 M-4.42 M— — Cash from financing activities 162.41 K139.32 K-91.9 K-17.96 K-15.63 K— — Free cash flow 4.43 M3.27 M6.73 M2.39 M2.45 M— —