Financials
Value 202020212022202320242025 TTM Cash from investing activities -25.09 M-65.23 M-26.2 M-39.67 M-24.09 M-161.88 M -149.69 M Cash from financing activities 150.66 M234.97 M-20.8 M-17.11 M-11.49 M72.85 M 47.6 M Free cash flow 2.89 M-74.71 M-90.12 M-32.38 M32.38 M78.81 M 87.89 M