Financials
Value 202020212022202320242025 TTM Cash from investing activities -60.9 K7.95 M-4.34 M-11.24 M-2.67 M-5.24 M -6.38 M Cash from financing activities 497.47 K14.04 M-48.13 M-2.27 M1.09 M-97.95 M -140.69 M Free cash flow -1.48 M-6.7 M50.61 M1.26 M23.15 M245.6 M 269.01 M