Financials
Value 202020212022202320242025 TTM Cash from investing activities —344 K-151 K-89 K-292.33 M394.3 M 51.49 M Cash from financing activities —191.48 M148.98 M239.38 M218.31 M473.41 M 473.41 M Free cash flow —-59.77 M-42.4 M-73.55 M-94.43 M179.46 M -94.73 M