Financials
Value 20212022202320242025 TTM Cash from investing activities -43.37 M-63.53 M-145.12 M-138.09 M-61.98 M -61.98 M Cash from financing activities 231.4 M22.8 M30.69 M157.02 M87.03 M 87.03 M Free cash flow -62.26 M-73.5 M-151.87 M-151.53 M-87 M -87 M