Financials
Value 202020212022202320242025 TTM Cash from investing activities 138.05 M10.34 M-86.21 M-235.92 M-107.67 M-140.06 M -140.06 M Cash from financing activities -236.27 M-83.56 M-12.77 M84.71 M18.11 M-4.26 M -4.26 M Free cash flow -31.01 M37.93 M58.76 M-132.77 M-30.07 M-33.92 M -33.92 M