Financials
Value 202020212022202320242025 TTM Cash from investing activities -45.98 M-44.15 M-33.15 M-81.6 M-71.29 M-64.18 M -93.34 M Cash from financing activities 14.03 M-33.17 M-9.84 M1.47 M36.73 M-9.86 M 15.13 M Free cash flow -2.49 M74.88 M67.73 M54.49 M22.29 M50.91 M 74.33 M