Financials
Value 202020212022202320242025 TTM Cash from investing activities -9.04 M-382.99 M-66.71 M-7.78 M-180.11 M13.11 M -8.68 M Cash from financing activities 180.69 M443.61 M-2.57 M-1.62 M278.51 M12.27 M 12.27 M Free cash flow -29.47 M-61.44 M-50.8 M-28.11 M-32.03 M18.22 M -12.6 M