Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.47 M-4.82 M-1.72 M-284.66 M-19.1 M-605.25 M -605.25 M Cash from financing activities -11.4 M-29.11 M-22.73 M200.94 M-74.45 M533.92 M 533.92 M Free cash flow 29.48 M19.51 M101.88 M71.15 M133.84 M212.51 M 212.51 M