Financials
Value 2022202320242025 TTM Cash from investing activities -48.38 M-150.77 M-14.47 M4.59 M 4.59 M Cash from financing activities 254.41 M366.45 M18.89 M214.72 M 214.72 M Free cash flow -160.15 M-281.63 M-175.9 M-91.51 M -90.78 M