Financials
Value 202020212022202320242025 TTM Cash from investing activities —-4.74 M-23.88 M-123.11 M-1.4 M-41.83 M -41.83 M Cash from financing activities —377.83 M20.51 M-29.66 M1.81 M35.4 M 35.4 M Free cash flow —-74.37 M-77.45 M-13.34 M-36.98 M13.04 M 13.04 M