Financials
Value 202020212022202320242025 TTM Cash from investing activities 944.4 K-1.74 M4.24 M351.68 K-33.58 M-2.15 M — Cash from financing activities -1.9 M4.05 M4.76 M12.47 M29.78 M6.04 M — Free cash flow 726.65 K-2.78 M-11.42 M-11.75 M-4.32 M-4.45 M -10.47 M