Financials
Value 20202021202220232024 TTM Cash from investing activities -21.72 M-30.09 M-37.56 M0-60.55 M -8.7 M Cash from financing activities -264.98 K-290.6 K-264.86 K-267.81 K-249.24 K — Free cash flow 9.31 M23.31 M51.15 M-32.75 M675.07 K 5.54 M