Financials
Value 202020212022202320242025 TTM Cash from investing activities 108.25 M10.7 M27.14 M-6.57 M-137.53 M9.57 M 11.41 M Cash from financing activities -41.77 M-76.24 M-5.08 M-7.58 M45.24 M-91.57 M -68.7 M Free cash flow 1.64 M-18.17 M-24.55 M239 K84.05 M64.39 M 62.7 M