Financials
Value 20202021202220232024 TTM Cash from investing activities 890.41 K1.45 M20.59 M12.23 M14.9 M 5.81 M Cash from financing activities 30.33 M79.45 M2.7 M43.17 M16.65 M 28.69 M Free cash flow 18.75 M21.72 M29.12 M50.26 M32.32 M 18.16 M