Financials
Value 2022202320242025 TTM Cash from investing activities 468.42 K-295.15 K-70.1 K-378.73 M -629.64 M Cash from financing activities 20.92 M6.36 M1.7 M447.97 M 660.95 M Free cash flow -16.72 M-6.4 M-6.64 M-10.97 M -21.01 M