Financials
Value 20212022202320242025 TTM Cash from investing activities —822.66 K320.58 M-542 K-2.41 M -2.59 M Cash from financing activities ——-318.41 M36.47 M32.25 M 70.11 M Free cash flow —-1.52 M-2.68 M-30.96 M-33.09 M -40.66 M