Financials
Value 202020212022202320242025 TTM Cash from investing activities 166.4 M-451.03 M-36.5 M-55.75 M-35.55 M-174.04 M -174.04 M Cash from financing activities -175.81 M871.63 M8.5 M210.1 M147.58 M426.17 M 426.17 M Free cash flow 34.05 M-49.8 M43.65 M53.35 M53.42 M5.62 M 7.89 M