Financials
Value 202020212022202320242025 TTM Cash from investing activities -83.71 M66.06 M-23.96 M208 K-39.24 M105.03 M 105.03 M Cash from financing activities 1.94 M24.86 M43.17 M37.06 M104.14 M26.04 M 26.04 M Free cash flow -36.35 M-69.82 M-43.61 M-37.34 M-58.46 M-84.3 M -84.3 M