Financials
Value Q3, 24Q4, 24Q1, 25Q2, 25 TTM Cash from investing activities -180.17 M-187.31 M21.34 M247.34 M 78.06 M Cash from financing activities 15.73 M84.56 M-5.44 M-200.98 M -126.16 M Free cash flow 519 K27.84 M-12.61 M-41.15 M -23.77 M