Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.84 M-739.21 M-29.39 M15.11 M-56.27 M-9.21 M -9.21 M Cash from financing activities 203.59 M596.32 M3.49 M2.84 M4.9 M-4.22 M -4.22 M Free cash flow -12.55 M-37 M-1.01 M34.26 M63.81 M126.63 M 126.63 M