Financials
Value 202020212022202320242025 TTM Cash from investing activities -20.12 M-45.81 M-38.84 M-1.4 M-6.81 M6.42 M -7.26 M Cash from financing activities 176.8 M-183.85 M-34.41 M-35.69 M47.79 M-7.51 M -73.87 M Free cash flow -63.6 M-123.96 M-135.99 M-77.98 M55.89 M49.87 M 29.95 M