Financials
Value 202020212022202320242025 TTM Cash from investing activities -9.08 M-21.55 M-24.93 M-7.35 M-363 K-604 K -604 K Cash from financing activities 291.06 M39.08 M52.1 M136.39 M76.68 M274.59 M 274.59 M Free cash flow -30.81 M-132.35 M-109.01 M-76.89 M-81.6 M-93.83 M -93.45 M