Financials
Value 202020212022202320242025 TTM Cash from investing activities 178 M-43.44 M-36.92 M-42.13 M-25.59 M-29.22 M -30.87 M Cash from financing activities 152.81 M252.91 M4.1 M226 K-4.76 M-28.87 M 1.73 M Free cash flow -134.42 M-142.15 M-91.56 M-61.27 M26.85 M5.48 M 22.97 M