Financials
Value 20202021202220232025 TTM Cash from investing activities -25.68 M-6.87 M-7.6 M-148.57 M-1.85 M -1.85 M Cash from financing activities -4.9 M-11.09 M-8.56 M21.93 M-24.47 M -24.47 M Free cash flow 27.28 M27.23 M40.06 M52.34 M68.15 M 68.15 M