Financials
Value 202020212022202320242025 TTM Cash from investing activities -87.89 M7.58 M-29 M-173.68 M21.39 M-4.93 M -4.93 M Cash from financing activities -43.49 M-66.98 M-146.01 M-59.12 M-102.7 M-199.34 M -199.34 M Free cash flow -22.74 M73.58 M35.15 M103.19 M154.61 M167.56 M 166.31 M