Financials
Value 202020212022202320242025 TTM Cash from investing activities -13.72 M-18.45 M-1.3 M-22.7 M4.88 M-5.95 M — Cash from financing activities 428.72 M149 K-4.91 M-7.23 M2.92 M3.64 M — Free cash flow -93.87 M-236.43 M-67.26 M-29.87 M-19.07 M5.34 M —