Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.96 M-186.88 M-116.53 M2.82 M105.29 M-16.61 M -16.61 M Cash from financing activities 239.95 M305.27 M209 K1.24 M-114.04 M-53.08 M -53.08 M Free cash flow -28.49 M-43.6 M-94.55 M-28.42 M22.53 M16.89 M 16.89 M