Financials
Value 202020212022202320242025 TTM Cash from investing activities 98.46 M311.16 M151.91 M117.7 M234.7 M75.61 M 75.61 M Cash from financing activities 80.25 M23.53 M78.77 M161 K2.09 M118.89 M 118.89 M Free cash flow -40.04 M-212.74 M-12.65 M-267.6 M-141.92 M42.64 M 42.64 M