Financials
Value 202020212022202320242025 TTM Cash from investing activities 50.71 M25.02 M-323.96 M-100.04 M28.22 M-79.4 M -79.4 M Cash from financing activities 43.39 M109.82 M102.22 M181.54 M-73.45 M28.31 M 28.31 M Free cash flow -13.97 M-572 K6 M7.39 M1.25 M-13 K -13 K