Financials
Value 2022202320242025 TTM Cash from investing activities -47.1 M18.71 M68.46 M-108.76 M -17.63 M Cash from financing activities 181.49 M655 K195.88 M151.51 M 145.91 M Free cash flow -131.83 M-165.41 M-122.86 M-162.56 M -156.42 M