Financials
Value 20202021202220232024 TTM Cash from investing activities -108.25 M27.2 M68.3 M-257.71 M147.85 M 19.99 M Cash from financing activities 153.88 M117.19 M3.22 M485.67 M238.64 M 257.2 M Free cash flow -84.36 M-159.81 M-81.36 M-172.58 M-263.47 M -304.53 M