Financials
Value 202020212022202320242025 TTM Cash from investing activities -36.32 M-159.98 M6.05 M8.55 M-16.42 M-20.73 M -20.73 M Cash from financing activities 13.19 M105.42 M-37.78 M-83.41 M-75.11 M-30.44 M -30.44 M Free cash flow -14.07 M34.68 M48.79 M78.98 M63.55 M55.79 M 55.79 M