Financials
Value 202020212022202320242025 TTM Cash from investing activities -14.03 M-5.5 M21.09 M66.15 M-39.03 M-6.81 M -8.56 M Cash from financing activities 92.48 M-2.82 M-3.83 M-3.02 M-4.18 M-16.94 M -18.72 M Free cash flow 5.81 M-35.38 M-47.2 M141.58 M27.37 M-53.22 M -48.06 M