Financials
Value 20212022202320242025 TTM Cash from investing activities -275.44 M91.48 M-4.85 M-93.53 M-155.76 M -106.15 M Cash from financing activities 1.39 M476 K133.41 M268.82 M211.3 M 256.78 M Free cash flow -50.69 M-82.06 M-83.73 M-104.35 M-146.72 M -148.72 M