Financials
Value 202020212022202320242025 TTM Cash from investing activities -21.18 M-10.05 M-11.46 M-54.99 M13.2 M-44.85 M -44.85 M Cash from financing activities -24.7 M-30.21 M-26.96 M-26.45 M-93.65 M-40.31 M -40.31 M Free cash flow 49.14 M44.14 M42.44 M62.57 M59.97 M41.03 M 41.03 M