Financials
Value 202020212022202320242025 TTM Cash from investing activities -124.54 M-216.12 M-135.77 M-1.71 M-20.61 M-142.91 M -142.91 M Cash from financing activities 48.76 M215.92 M-135.43 M-253.74 M-246.43 M-135.07 M -135.07 M Free cash flow 74.88 M52.08 M-14 M195.95 M-35.62 M111.16 M 111.16 M