Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.28 M-29.06 M-11.41 M-61.05 M-26.52 M-7.93 M -23.01 M Cash from financing activities -57.14 M-125.13 M-199.58 M-79.79 M-1.51 M-564 K -902 K Free cash flow 145.2 M94.55 M194.57 M147.66 M24.48 M6.86 M 3.72 M