Financials
Value 202020212022202320242025 TTM Cash from investing activities —-15.23 M-5.15 M50.6 M14.65 M-36.25 M -72.39 M Cash from financing activities -1.2 M258.3 M55.6 M15.66 M15.39 M97.61 M 140.71 M Free cash flow -4 M-71.06 M-110.69 M-137.89 M-33.69 M-64.85 M -82.47 M