Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.63 M-23.34 M-17.17 M-29.46 M-33.19 M-54.69 M -84.91 M Cash from financing activities 154.18 M123.32 M139.54 M227.92 M205.83 M787.09 M 747.6 M Free cash flow -26.56 M-116.15 M-196.86 M-145.02 M-153.94 M-265.88 M -386 M