Financials
Value 202020212022202320242025 TTM Cash from investing activities -36.88 M-42.66 M-31.04 M7.4 M-12.1 M-16.2 M -15.99 M Cash from financing activities 11.8 M45.72 M-49.67 M-5.7 M97.67 M-34.37 M -49.64 M Free cash flow 32.88 M2.06 M91.67 M-5.12 M-85.41 M33.86 M 48.8 M