Financials
Value 202020212022202320242025 TTM Cash from investing activities -148.97 M-106.14 M-255.98 M-753 K-42.62 M-41.83 M -79.45 M Cash from financing activities 249 M195.16 M27.42 M-11.25 M-1.04 M19.3 M 17.71 M Free cash flow 9.16 M26.9 M22.66 M22.78 M20.56 M19.96 M 19.38 M