Financials
Value 202020212022202320242025 TTM Cash from investing activities 7.16 M32.55 M-16.44 M-447 K14.96 M-21.88 M 253 K Cash from financing activities -41.67 M-43.47 M-31.43 M-28 M-31.53 M16.6 M -19.68 M Free cash flow 38.35 M31.82 M7.74 M43.55 M-53.43 M-36.17 M 26.43 M