Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.42 M-13.78 M-177.97 M-175.46 M-86.26 M-37.45 M -37.45 M Cash from financing activities 26.2 M92.47 M478.37 M75.48 M122.02 M-58.13 M -58.13 M Free cash flow -13.34 M-32.43 M-272.4 M-218.11 M-40.75 M-4.53 M -4.53 M