Financials
Value 202020212022202320242025 TTM Cash from investing activities -91.12 M-102.97 M-267.63 M-52.56 M-242.15 M-71.5 M -71.5 M Cash from financing activities -26.89 M72.91 M201.38 M2.77 M172.35 M30.66 M 30.66 M Free cash flow -179.1 M-229.28 M-329.07 M46.42 M51.86 M49.44 M 49.44 M