Financials
Value 202020212022202320242025 TTM Cash from investing activities 333 K23.37 M-25.32 M32.95 M9.71 M-122.88 M -85.66 M Cash from financing activities -33.86 M-68.83 M-28.27 M-56.69 M-32.88 M54.97 M 58.1 M Free cash flow 35.13 M48.56 M44.2 M46.05 M39.06 M-157.39 M -125.67 M