Financials
Value 20212022202320242025 TTM Cash from investing activities -8 M-255.07 M128.38 M-230.99 M174.65 M 174.65 M Cash from financing activities 297.12 M165.9 M164 M203.29 M1.22 M 1.22 M Free cash flow -48.54 M-109.9 M-147.08 M-97.38 M-107.58 M -107.58 M