Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.39 M-64.46 M-53.25 M-137.17 M-318.62 M-404.96 M -404.96 M Cash from financing activities -10.71 M-2.54 M-58.45 M-98.42 M46.64 M188.39 M 188.39 M Free cash flow 89.31 M-62.63 M-44.32 M131.97 M46.17 M-79.89 M -79.89 M