Financials
Value 202020212022202320242025 TTM Cash from investing activities 70.13 K-299.52 K-855.47 K-80.8 K-66.35 K0 0 Cash from financing activities 6.38 M15.11 M8.11 M5.86 M7.98 M13.31 M 13.31 M Free cash flow 3.84 M-7.15 M-7.78 M-10.43 M-12.9 M-7.6 M -7.6 M