Financials
Value 202020212022202320242025 TTM Cash from investing activities -104.55 M-56.45 M-197.16 M-50.61 M-18.11 M-21.37 M 27.65 M Cash from financing activities 160.86 M129.69 M6.32 M41.95 M-2.96 M441 K -49.82 M Free cash flow 14.81 M31.16 M24.78 M12.6 M14.24 M21.63 M 23.29 M