Financials
Value 202020212022202320242025 TTM Cash from investing activities -10.63 M43.43 M-9.81 M20.25 M-286.81 M-122.83 M -122.83 M Cash from financing activities 67.74 M89.6 M2.88 M133.57 M255.62 M280.13 M 280.13 M Free cash flow -64.42 M-60.8 M-67.4 M-36.97 M-78.28 M-129.27 M -129.27 M