Financials
Value 202020212022202320242025 TTM Cash from investing activities -7.78 M-333.45 M-158.64 M-29.52 M3.19 M-70.19 M -91.85 M Cash from financing activities 37.28 M397.94 M124.11 M37.04 M25.85 M156.31 M 162.2 M Free cash flow -11.18 M-61.67 M26.49 M-5.43 M-19.41 M-62.52 M -58.75 M