Financials
Value 202020212022202320242025 TTM Cash from investing activities 5.09 M-19.81 M-3.33 M-14.91 M-107.34 M-278.3 M — Cash from financing activities 1.62 M1.56 M-1.82 M-27.25 M-45.58 M69.66 M — Free cash flow -5.44 M28.96 M19.37 M54.87 M195.29 M179.8 M —