Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.66 M-10.98 M46.59 M-12.01 M-9.3 M-35.58 M -71.69 M Cash from financing activities -7.06 M-10.39 M-7.31 M-32.09 M-5.24 M-38.42 M -43.88 M Free cash flow 14.92 M-2.75 M-5.79 M-10.73 M55.67 M59.45 M 58.26 M