Financials
Value 202020212022202320242025 TTM Cash from investing activities 124.16 M65.13 M165.56 M113.27 M21.08 M4.03 M 4.03 M Cash from financing activities 434.68 M51.16 M5.88 M152.01 M13.32 M188.97 M 188.97 M Free cash flow -21.78 M5.31 M6.5 M39.65 M106.72 M173.37 M 173.37 M