Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.23 M-108.36 M-53.98 M74.87 M-9.9 M-3.82 M -27.19 M Cash from financing activities -10.33 M-5.92 M-105.56 M-67.68 M-28.75 M-54.58 M -78.05 M Free cash flow 38.09 M255.9 M13.63 M-72.43 M21.71 M66.66 M 91.93 M