Financials
Value 202020212022202320242025 TTM Cash from investing activities -105.32 M71.95 M62.07 M-180.32 M-106 M107.25 M 106.66 M Cash from financing activities 168.35 M48.56 M87.26 M362.02 M334.37 M2.27 M 4.44 M Free cash flow -66.65 M-95.56 M-127.38 M-167.74 M-218.62 M-111.04 M -125.96 M