Financials
Value 20212022202320242025 TTM Cash from investing activities -84.33 M-16.27 M-107.74 M-19.26 M-31.97 M -32.8 M Cash from financing activities 340.65 M192.66 M43.57 M209.33 M-38.94 M 20.86 M Free cash flow -55.82 M-76.75 M-104.39 M-58.6 M-71.42 M -65.38 M