Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.73 M-4.02 M-6.59 M-4.73 M-8.68 M-15.46 M -15.46 M Cash from financing activities -43.56 M-120.42 M-204.46 M-196.05 M-286.37 M-315.16 M -315.16 M Free cash flow 138.16 M181.17 M173.04 M241.49 M286.33 M374.01 M 374.01 M