Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.52 M-127.27 M-272.95 M-287.96 M-118.67 M26.07 M 26.07 M Cash from financing activities 77.26 M602.13 M17.47 M40.05 M40.95 M-312.27 M -312.27 M Free cash flow 22.55 M5.67 M35.66 M148.76 M266.17 M326.89 M 326.89 M