Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.82 M-64.28 M-34.58 M-223.6 M-583.17 M-64.58 M 120.53 M Cash from financing activities 271 M612.55 M793.27 M168.44 M1.34 B954.07 M 954.59 M Free cash flow -219.35 M-363.3 M-400.44 M-536.25 M-683.88 M-935.01 M -895.66 M