Financials
Value 20212022202320242025 TTM Cash from investing activities -7.37 M-8.83 M-13.48 M-27.74 M-22.34 M -35.09 M Cash from financing activities 207.56 M-19.55 M-14.39 M-35.43 M-44.16 M -12.06 M Free cash flow 28.66 M-3.53 M37.75 M51.77 M34.31 M 47.74 M