Financials
Value 202020212022202320242025 TTM Cash from investing activities -8.4 M-6.48 M-54.26 M-131.98 M-232.69 M44.91 M 44.91 M Cash from financing activities 7.39 M131.79 M-274.83 M23.86 M40.31 M-233.76 M -233.76 M Free cash flow 332.06 M-212.73 M294.94 M-1.51 M86.72 M124.31 M 124.31 M