Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.24 M-37 M-28.99 M-33.78 M-33.36 M-37.02 M -37.02 M Cash from financing activities 241.07 M125.58 M-1.22 M-518 K-2.65 M-37.36 M -37.36 M Free cash flow 14.31 M-59.41 M-81.25 M-29.84 M79.03 M132.79 M 132.79 M