Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.33 M-39.06 M-123.21 M-97.22 M-102.12 M-255.89 M -249.72 M Cash from financing activities -929 K-57 K-17.95 M-56.82 M-43.05 M12.38 M 108.14 M Free cash flow 27.45 M50.12 M128.85 M223.6 M113.72 M212.67 M 140.74 M