Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.8 M-151.25 M-27.82 M-25.7 M-418.68 M-35.66 M -33.87 M Cash from financing activities -71.52 M69.01 M55.5 M-109.61 M349.55 M-269 K -72.35 M Free cash flow 97.9 M85.56 M-27.53 M144.26 M76.69 M18.72 M 87.23 M