Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.22 M-9.06 M-28.93 M-29.07 M-15.27 M-30.78 M -30.78 M Cash from financing activities -13.63 M-8.24 M36.77 M6.75 M-6.62 M-50.75 M -50.75 M Free cash flow 43.21 M6.12 M-48.09 M-1.13 M1.52 M85.01 M 85.01 M