Financials
Value 202020212022202320242025 TTM Cash from investing activities -18.19 M-27.52 M-53.37 M-75.29 M-46.47 M-66.55 M -62.35 M Cash from financing activities -35.63 M-26.69 M-207 K16.57 M-14.43 M-11.37 M 26.3 M Free cash flow 52.58 M47.97 M54.17 M59.41 M65.93 M11.92 M -1.99 M