Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.4 M-17.48 M46.23 M-5.69 M8.26 M-65.32 M -81.45 M Cash from financing activities -77.94 M21.41 M-24.93 M-81.05 M-66.88 M-20.95 M -18.19 M Free cash flow 55.79 M-3.01 M-25.02 M100 M38.17 M72.99 M 85.27 M