Financials
Value 202020212022202320242025 TTM Cash from investing activities —-7.16 M-1.52 M-961 K-35.21 M-77.08 M -77.08 M Cash from financing activities —142 K162 K65.44 M8 000116.08 M 116.08 M Free cash flow -19 M-18.98 M-22.48 M2.14 M28.29 M23.15 M 23.15 M