Financials
Value 202020212022202320242025 TTM Cash from investing activities -7.79 M-33.79 M-560.09 M-36.66 M64.76 M-427.87 M 19.62 M Cash from financing activities 1.3 M460.65 M-4.52 M3.47 M-91.31 M351.37 M 336.71 M Free cash flow 16.6 M59.08 M39.75 M8.06 M23.19 M87.15 M 103.31 M