Financials
Value 202020212022202320242025 TTM Cash from investing activities -15.16 M-25.66 M-65.08 M-153.89 M-71.44 M-121.3 M -121.3 M Cash from financing activities -157 K-8.85 M17.75 M135.23 M4.37 M56.23 M 56.23 M Free cash flow 17.39 M2.82 M-37.36 M-135.91 M-5.43 M-58.56 M -58.56 M