Financials
Value 202020212022202320242025 TTM Cash from investing activities 39.98 M-11.95 M-88.13 M20.24 M363.17 M27.41 M 203.87 M Cash from financing activities 20.86 M15.96 M230.76 M-6.81 M-102.62 M570 K 576 K Free cash flow -15.42 M-44.06 M-89.37 M-43.29 M-143.45 M-74.34 M -90.66 M