Financials
Value 202020212022202320242025 TTM Cash from investing activities -90.83 M-55.57 M-374.72 M-246.68 M-209.89 K223.48 M 223.48 M Cash from financing activities 24.18 M-38.62 M226.06 M78.38 M-247.53 M13.17 M 13.17 M Free cash flow -25.35 M36.14 M25.34 M-316.4 M250.89 M23.7 M 23.7 M