Financials
Value 20202021202220232024 TTM Cash from investing activities -17.85 M20.13 M9.36 M-5.69 M-14.09 M — Cash from financing activities 58.74 M-102.93 M-2.45 M-7.95 M-24.85 M — Free cash flow 2.63 M-36.99 M34.56 M46.78 M40.33 M -118.02 M