Financials
Value 20202021202220232024 TTM Cash from investing activities -55.87 M-51.75 M-109.9 M45.06 M26.46 M 46.98 M Cash from financing activities -1.47 M-6.9 M136.01 M-65.22 M-33.43 M -48.85 M Free cash flow 11.57 M11.79 M16.32 M5.68 M8.15 M 7.4 M