Financials
Value 202020212022202320242025 TTM Cash from investing activities 38.32 M12.7 M22.27 M88.69 M22.29 M11.98 M 11.98 M Cash from financing activities 33.2 M43.58 M13.69 M63.45 M13.9 M4.57 M 4.57 M Free cash flow -1.9 M42.23 M12.81 M-98.06 M-6.24 M-15 M -15 M