Financials
Value 202020212022202320242025 TTM Cash from investing activities 38.09 M17.27 M-60.49 M-15.96 M-26.82 M-6.13 M -6.54 M Cash from financing activities -15.48 M-16.57 M-92.82 M-64.17 M-57.69 M-40.98 M -46.57 M Free cash flow 63.45 M65.25 M78.92 M75.2 M74.7 M10.65 M 47.68 M