Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.52 M-4.44 M-7.87 M-38.38 M-16.66 M-61.64 M -59.12 M Cash from financing activities -9.08 M-2.34 M-11.35 M-11.73 M-7.32 M43.68 M 38.17 M Free cash flow 14.82 M20.01 M38.01 M18.19 M16.83 M20.62 M 22.14 M