Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.87 M-433 K-100 K-808 K-757 K-1.37 M -1.27 M Cash from financing activities 149.55 M274 K194.12 M6.77 M587 K276.18 M 365.08 M Free cash flow -165.61 M-108.24 M-55.67 M-79.65 M-104.47 M-121.18 M -150.58 M