Financials
Value 202020212022202320242025 TTM Cash from investing activities 18.67 M-18.77 M-60.4 M158.46 M268.75 M63.4 M 63.4 M Cash from financing activities -23.74 M13.87 M20.83 M-173.51 M-211.94 M-149.97 M -149.97 M Free cash flow 16.15 M-76.04 M-41.71 M-15.1 M-3.25 M9.58 M 9.58 M