Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.1 M-60.97 M-60.01 M-22.61 M-34.91 M-6.99 M -8.1 M Cash from financing activities 7.49 M35.83 M63.6 M-21.32 M-843 K-47.7 M -48.64 M Free cash flow 24.84 M25.4 M5.6 M45.04 M41.85 M56.67 M 48.92 M