Financials
Value 20212022202320242025 TTM Cash from investing activities -72.43 M-48.6 M-66.85 M-1.65 B-54.13 M -57.07 M Cash from financing activities 63.85 M-59.15 M-273.56 M1.58 B-70.76 M -109.03 M Free cash flow 148.68 M212.77 M162.82 M28.2 M140.87 M 165.93 M