Financials
Value 202020212022202320242025 TTM Cash from investing activities -14.6 M9.07 M-28.75 M-6.7 M1.75 M-14.82 M -13.61 M Cash from financing activities -31.72 M-37.55 M-9.31 M-12.01 M-30.96 M-19.93 M -19.93 M Free cash flow 34.09 M51.93 M36.2 M7.43 M29.84 M25.38 M 27.36 M