Financials
Value 202020212022202320242025 TTM Cash from investing activities -300 M-3.84 M-1.17 M-578 K-515 K447 K 482 K Cash from financing activities 302.63 M134.7 M29.72 M20.07 M40.69 M156.59 M 151.01 M Free cash flow -1.34 M-56.09 M-66.64 M-59.57 M-43.47 M-42.85 M -34.12 M