Financials
Value 2022202320242025 TTM Cash from investing activities -117.67 M-154.51 M-183.04 M86.3 M 86.3 M Cash from financing activities 252.63 M279.16 M-24.09 M98.53 M 98.53 M Free cash flow -101.58 M186.15 M-96.9 M-212.59 M -212.59 M