Financials
Value 202020212022202320242025 TTM Cash from investing activities -21.94 M-270.02 M-811.16 M-48.3 M-33.96 M-165.19 M -165.19 M Cash from financing activities 355 M170.55 M739.49 M-70.15 M42.39 M54.31 M 54.31 M Free cash flow -1.51 M34.56 M77.71 M29.88 M29.32 M27.13 M 27.13 M