Financials
Value 20212022202320242025 TTM Cash from investing activities -9.47 M-10.25 M-14.89 M-42.94 M-106.82 M -780.1 M Cash from financing activities -45.61 M-48.81 M-64.45 M8.35 M-8.97 M 542.19 M Free cash flow 0-40.17 M193 K188.39 M193.33 M 79.64 M