Financials
Value 202020212022202320242025 TTM Cash from investing activities -71 K-55.74 M-128.26 M-469.56 M-147.84 M-145.77 M -145.77 M Cash from financing activities 126 K-14.94 M-37.05 M264.38 M-100.63 M-62.01 M -62.01 M Free cash flow -1.66 M25.59 M42.03 M65.89 M116.35 M81.21 M 84.66 M