Financials
Value 2022202320242025 TTM Cash from investing activities -498 K-630 K-3.14 M-251.13 M -502.7 M Cash from financing activities 43.27 M95.64 M182.45 M779.15 M 633.39 M Free cash flow -45.23 M-60.65 M-42.64 M-71.98 M -97.66 M