Financials
Value 202020212022202320242025 TTM Cash from investing activities —-411.64 M88.85 M26.23 M28.56 M-1.07 M -1.07 M Cash from financing activities —478.95 M1.25 M146 K3.56 M10.66 M 10.66 M Free cash flow —-34.31 M-109.78 M-162.54 M-59.78 M-63 M -63 M