Financials
Value 20212022202320242025 TTM Cash from investing activities -113.43 M6.93 M11.88 M56.03 M-247.01 M -247.01 M Cash from financing activities 190.46 M396 K46 M25.43 M360.77 M 360.77 M Free cash flow -27.58 M-39.32 M-56.92 M-71.2 M-94.89 M -94.75 M