Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.86 M-7.91 M-10.55 M-11.47 M-13.74 M-8.09 M -6.95 M Cash from financing activities -34.38 M-66.61 M-65.31 M-57.6 M-35.4 M-36.28 M -45.34 M Free cash flow 68.41 M130.81 M54.34 M76.78 M-1.5 M57.92 M 72.09 M