Financials
Value 202020212022202320242025 TTM Cash from investing activities -33.59 M-99.57 M-29.54 M2.77 M-108.85 M-163.69 M -287.71 M Cash from financing activities -8.51 M31.17 M15.02 M-105.75 M-100.5 M-96.07 M -40.16 M Free cash flow 72 M30.52 M-12.99 M136.24 M189.25 M218.84 M 239.44 M