Financials
Value 202020212022202320242025 TTM Cash from investing activities -18.23 M-26.82 M-32.29 M-43.62 M-44.07 M-57.7 M -54.02 M Cash from financing activities -85.97 M51.63 M-129.76 M-252.28 M1.98 M63.01 M -453.18 M Free cash flow 530.36 M-152.09 M405.27 M355.57 M-227.58 M118.29 M 262.17 M