Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.06 M-10.77 M-12.53 M-18.28 M-43.95 M-22.07 M -23.02 M Cash from financing activities -6.16 M-9.62 M14.06 M-37.12 M-114.2 M20.8 M -31.4 M Free cash flow -880 K78.1 M15.17 M143.53 M53.09 M15.81 M 8.84 M