Financials
Value 202020212022202320242025 TTM Cash from investing activities 46.6 M-20.56 M-6.95 M-19.11 M-15.65 M33.98 M 33.98 M Cash from financing activities 4.37 M-12.79 M-23.67 M4.79 M-43.28 M-34.53 M -34.53 M Free cash flow 10.09 M6.85 M8.4 M23.49 M19.22 M17.44 M 17.44 M