Financials
Value 202020212022202320242025 TTM Cash from investing activities 334.93 K-321.34 M79.34 M17.09 M-1.02 M69.75 M 1.51 M Cash from financing activities —332.26 M-1.08 M-76 K-5.76 M-8.91 M -8.6 M Free cash flow -794.47 K-15.62 M-37.13 M-32.35 M-33.39 M-59.92 M -49.45 M