Financials
Value 202020212022202320242025 TTM Cash from investing activities -73.13 M5.66 M-10.71 M-502 K-28.19 M-42.04 M -48.91 M Cash from financing activities 93.61 M-12.22 M-1.64 M865 K2.2 M11.28 M 7.81 M Free cash flow 12.37 M-2.58 M-5.15 M18.82 M22.24 M39.88 M 57.99 M