Financials
Value 202020212022202320242025 TTM Cash from investing activities -88 K-2.26 M-4.75 M4.44 M-5.38 M-294.54 M -290.07 M Cash from financing activities 17.21 M27.25 M25.65 M8.08 M18.29 M346.48 M — Free cash flow -16.29 M-25.86 M-19.41 M-10.9 M-9.19 M-20.77 M 59.59 M