Financials
Value 202020212022202320242025 TTM Cash from investing activities 14.49 M0———-127.63 M — Cash from financing activities -9.32 M25.41 M10.87 M5.91 M4.04 M158.15 M 158.15 M Free cash flow -3.87 M-19.37 M-12.13 M-10.92 M-1.48 M-270.33 M -26.05 M