Financials
Value 202020212022202320242025 TTM Cash from investing activities -13.94 M-116.32 M14.61 M35.43 M-20.05 M29.37 M — Cash from financing activities 240.99 M7.38 M804 K27.25 M39.5 M21.37 M — Free cash flow -35.42 M-38.07 M-43.38 M-44.78 M-39.37 M-45 M -175.38 M