Financials
Value 202020212022202320242025 TTM Cash from investing activities 7.03 M129 K14.84 M-187 K-276 K-196 K -196 K Cash from financing activities 210.01 K-231 K-2.43 M-40 K15 K-305 K -305 K Free cash flow -792.72 K-414 K-1.57 M-2.37 M-1.11 M332 K 332 K