Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.93 M8.3 M-14.28 M-4.86 M-7.56 M-14.14 M -14.14 M Cash from financing activities -18.58 M-87.7 M-173.39 M-86.61 M-79.08 M-45.71 M -45.71 M Free cash flow 102.68 M66.46 M82.7 M83.7 M79.3 M46.8 M 46.8 M