Financials
Value 202020212022202320242025 TTM Cash from investing activities -73.66 M-60.36 M53.94 M80.4 M-62.19 M-90.79 M -90.79 M Cash from financing activities 67.61 M130.29 M-296.42 M19.52 M88.32 M-98.56 M -98.56 M Free cash flow 6.78 M9.12 M38.77 M28.68 M28.66 M30.09 M 30.09 M