Financials
Value 202020212022202320242025 TTM Cash from investing activities 113.88 M195.99 M38.78 M13.58 M57.84 M103.86 M 103.86 M Cash from financing activities 94.03 M186.4 M17.67 M11.38 M26.46 M109.16 M 109.16 M Free cash flow -109.41 M-206.21 M-164.5 M-94.24 M-106.77 M-218.71 M -218.71 M