Financials
Value 202020212022202320242025 TTM Cash from investing activities 23.4 M25.06 M-23.81 M-610.27 M-188 K-7.48 M -13.19 M Cash from financing activities -99.77 M-41.01 M-2.72 M615.56 M-222.59 M-135.96 M -109.01 M Free cash flow 3.99 M15.01 M40.23 M104.7 M273.85 M379.11 M 317.88 M