Financials
Value 202020212022202320242025 TTM Cash from investing activities ——246.5 M2.24 M-4.96 M-23.28 M -20.47 M Cash from financing activities —1.5 M-244.66 M57.82 M320.12 M-44.87 M -113.68 M Free cash flow —-1.24 M-2.6 M-64.52 M-208.81 M-26.61 M 126.02 M