Financials
Value 20212022202320242025 TTM Cash from investing activities -20.1 M-317.9 M69.64 M67.15 M-554.18 M -554.18 M Cash from financing activities 325.89 M-31.7 M-117.07 M-117.7 M585.34 M 585.34 M Free cash flow 36.71 M-22.13 M-6.49 M51.27 M-15.15 M -15.15 M