Financials
Value 202020212022202320242025 TTM Cash from investing activities 6.04 M5.17 M36.5 M27.03 M59.06 M61.37 M 61.37 M Cash from financing activities 17.63 M50.05 M40 K4.66 M8.87 M5.37 M 5.37 M Free cash flow 47.53 M-15.88 M-21.1 M32.05 M-24.16 M19.54 M 19.54 M