Financials
Value 202020212022202320242025 TTM Cash from investing activities 155.48 M114.72 M49.59 M14.8 M44.08 M67.27 M 67.27 M Cash from financing activities 342.99 M50.41 M4.87 M60.68 M19.77 M29.56 M 29.56 M Free cash flow -63.24 M-64.2 M-36 M-4.56 M58.85 M63.84 M 63.84 M