Financials
Value 202020212022202320242025 TTM Cash from investing activities -52.43 M58.95 M18 M-5.76 M21.91 M23.23 M 24.33 M Cash from financing activities 118.88 M6.81 M707 K143 K-4.78 M17.91 M 27.27 M Free cash flow -50.82 M-62.93 M-44.04 M-18.29 M-31.9 M-41.78 M -39.66 M