Financials
Value 202020212022202320242025 TTM Cash from investing activities -44.81 M-272.13 M-601.03 M-474.5 M-496.17 M128.68 M 283.48 M Cash from financing activities 124.19 M-75.56 M331.9 M612.17 M543.69 M-141.76 M -122.3 M Free cash flow 13.07 M-1.44 M82.72 M11.68 M12.99 M3.45 M 46.17 M