Financials
Value 202020212022202320242025 TTM Cash from investing activities 29.59 M-281.6 M125.35 M1.06 M75.47 M-21.39 M — Cash from financing activities 8.94 M337.18 M609 K61.86 M224 K51.47 M — Free cash flow -67.06 M-86.31 M-115.98 M-99.63 M-81.37 M-52.17 M -411.57 M