Financials
Value 202020212022202320242025 TTM Cash from investing activities -18.48 M-27.38 M-78.06 M-39.8 M-25.23 M-31.9 M -33.75 M Cash from financing activities -61.84 M-28.63 M54.64 M25.6 M-99.24 M42.04 M 13.23 M Free cash flow 107.24 M87.36 M-40.13 M30.93 M123.52 M-38.09 M -7.33 M