Financials
Value 20202021202220232024 TTM Cash from investing activities -5.47 M-15.07 M-16.93 M-17.75 M-18.91 M -18.98 M Cash from financing activities -37.98 M-8.26 M-71.26 M-74.03 M-17.64 M -14.46 M Free cash flow 75 M74.42 M63.31 M65.04 M42.14 M 38.49 M