Financials
Value 202020212022202320242025 TTM Cash from investing activities 11.67 M-3.62 M-110.84 M-124.78 M-24.64 M-157.03 M -58.06 M Cash from financing activities 307.09 K84.46 M157.27 M65.42 M173.08 M284.84 M 597.96 M Free cash flow -13.03 M-41.7 M-54.2 M71.92 M-109.92 M-70.15 M -121.85 M