Financials
Value 202020212022202320242025 TTM Cash from investing activities 451.78 K-1.44 M-1.5 M-974 K-1.3 M-1.1 M -1.09 M Cash from financing activities 026.1 M-4.24 M-22.64 M21.61 M19.97 M 18.06 M Free cash flow -985.96 K2.17 M-20.85 M-17.41 M-32.57 M-13.11 M -4.32 M