Financials
Value 202020212022202320242025 TTM Cash from investing activities -23.44 M128.63 M-8.08 M-29.56 M37.67 M-188.99 M -169.37 M Cash from financing activities 227.09 M5.88 M2.52 M1.5 M12.27 M33.02 M 36.33 M Free cash flow -136.53 M-126.3 M5.81 M13.3 M25.69 M136.42 M 164.23 M