Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.66 M-8.12 M-3.55 M-2.16 M-82.21 M1.1 M -1.77 M Cash from financing activities -7.41 M-56 K19.71 M-17.85 M71.05 M-32.58 M -23.22 M Free cash flow 51.05 M-327 K-41.85 M27.04 M5.76 M34.04 M 32.25 M