Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.93 M-13.15 M-38.59 M-3.21 M-5.17 M-9.59 M -9.59 M Cash from financing activities 37.28 M28.19 M54.42 M22.89 M16.33 M-23.68 M -23.68 M Free cash flow -33.51 M-15.11 M-11.83 M-24.77 M-16.13 M36.7 M 39.25 M