Financials
Value 202020212022202320242025 TTM Cash from investing activities 9.51 M-143.72 M-8.39 M121.9 M7.65 M-3.36 M -3.1 M Cash from financing activities 71.98 M-9.89 M-173.27 M-90.38 M-929 K-30.11 M -26.18 M Free cash flow 93.78 M229.15 M5.75 M-32.86 M-125.14 M-20.67 M -101 K