Financials
Value 20202021202220232024 TTM Cash from investing activities -36.46 M-9.22 M-15.13 M-22.73 M11.44 M -111.93 M Cash from financing activities -11.31 M-33.31 M-19.46 M-12.51 M23 M 45.45 M Free cash flow 50.62 M28.67 M11.84 M12.04 M73.54 M 105 M