Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.08 M-1.1 M-20.93 M-2.8 M-2.23 M-4.26 M -6.53 M Cash from financing activities -18.24 M-44.03 M-7.62 M-61.06 M-29.49 M-2.21 M -14.74 M Free cash flow 44.81 M36.99 M24.32 M56.43 M18.57 M3.25 M 18.03 M