Financials
Value 20212022202320242025 TTM Cash from investing activities -5.74 M-241.86 M226.35 M-154.48 M-75.67 M -61.4 M Cash from financing activities 417.47 M597 K190 K199 M149.75 M 149.72 M Free cash flow -52.85 M-87.98 M-90.01 M-59.39 M-70 M -87.44 M