Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.03 M-8.73 M-9.08 M-160.2 M-115.29 M42.83 M -64.9 M Cash from financing activities -19.47 M-36.37 M-11.19 M-15.73 M-25.22 M-93.37 M -53.39 M Free cash flow 36.1 M57.75 M34.89 M197.95 M173.87 M65.44 M 132.09 M