Financials
Value 202020212022202320242025 TTM Cash from investing activities -7.82 M188.94 M50 M-46.95 M-21.54 M61.03 M 125.52 M Cash from financing activities 7.47 M-99.37 M-19.17 M84.93 M16.1 M22.34 M -32.18 M Free cash flow -4.06 M-53.61 M-55.26 M-51.25 M-5.84 M-38.04 M -35.66 M