Financials
Value 202020212022202320242025 TTM Cash from investing activities -38.51 M-27.62 M-8.95 M-47.42 M-25.94 M-48.57 M -38.5 M Cash from financing activities -13.44 M-11.66 M-12.69 M-17.3 M-38.64 M-26.85 M -104.86 M Free cash flow 46.03 M43.97 M3.05 M119.71 M95.76 M90.41 M 44.9 M