Financials
Value 2022202320242025 TTM Cash from investing activities -2.57 M-29.24 M-36.47 M-16.33 M -14.43 M Cash from financing activities 234.21 M236.34 M47.62 M-409.24 M -246.4 M Free cash flow -224.53 M-236.79 M-45.49 M401.58 M 228.3 M