Financials
Value 202020212022202320242025 TTM Cash from investing activities -10.67 M-263.43 M-79.68 M-56.25 M-45.06 M-71.92 M -52.94 M Cash from financing activities 259.61 M415.55 M1.23 M90.95 M-23.71 M-22.17 M -24.33 M Free cash flow -48.67 M-34.78 M-17.74 M33.93 M-31.68 M52.06 M 75.87 M