Financials
Value 202020212022202320242025 TTM Cash from investing activities -36.84 M-22.99 M2.58 M-3.29 M6.05 M-11 M -8.08 M Cash from financing activities -68.37 M-82.65 M-38.93 M-12.15 M-31.05 M-63.33 M -81.23 M Free cash flow 217.21 M37.11 M-8.17 M43.5 M30.8 M144.97 M 161.2 M