Financials
Value 20202021202220232024 TTM Cash from investing activities 2.95 M-87.68 M-29.41 M3.4 M3.38 M 45.06 M Cash from financing activities -29.93 M62.2 M-13.41 M-16.75 M60.95 M -17.5 M Free cash flow 22 K17.45 M40.15 M20.6 M-57.58 M 25.32 M