Financials
Value 202020212022202320242025 TTM Cash from investing activities -34.41 M-16.22 M-20.95 M-32.32 M-2.45 M-16.06 M -16.06 M Cash from financing activities -92.5 M-19.13 M-64.69 M-37.58 M-17.09 M57.14 M 57.14 M Free cash flow 125.47 M-14.57 M89.88 M3.48 M-41.21 M-73.72 M -73.72 M