Financials
Value 202020212022202320242025 TTM Cash from investing activities —-21.17 M-21.14 M-8.83 M-6.16 M-3.42 M -3.42 M Cash from financing activities —355.46 M-2.1 M-49.62 M-19.87 M-45.71 M -45.71 M Free cash flow —-172.34 M-16.63 M-2.77 M-13.24 M-26.57 M -26.57 M