Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.89 M-3.24 M-4.66 M-4.1 M-10.62 M-8.63 M -9.5 M Cash from financing activities -18.71 M-46.74 M-69.74 M-42.56 M-41.66 M-29.77 M -24.67 M Free cash flow 44.06 M46.35 M58.9 M37.4 M47.73 M40.3 M 31.04 M