Financials
Value 202020212022202320242025 TTM Cash from investing activities -77.84 M-17.08 M-10.04 M22.38 M-7.03 M-134.25 M -106.58 M Cash from financing activities 94.41 M2.18 M83 K-2.05 M8.65 M-1.23 M -22.99 M Free cash flow 11.7 M16.32 M-8.1 M50.91 M64.82 M33.72 M 9.89 M