Financials
Value 202020212022202320242025 TTM Cash from investing activities 156.2 M23.5 M44.01 M21.82 M30.23 M14.55 M 14.55 M Cash from financing activities 189.39 M7.64 M7.06 M32 K3.6 M1.18 M 1.18 M Free cash flow 14.61 M4.03 M5.26 M-37.51 M-11.26 M48.28 M 48.28 M