Financials
Value 202020212022202320242025 TTM Cash from investing activities -73.28 M-12.63 M25.86 M-15.89 M-48.42 M25.43 M 25.43 M Cash from financing activities 201.25 M213.24 M63.84 M-6.22 M-9.67 M34.29 M 34.29 M Free cash flow -131.62 M-183.48 M-42.38 M-17.47 M-31.22 M-40.65 M -40.65 M