Financials
Value 20202021202220232024 TTM Cash from investing activities 604 K3.35 M14.99 M2.5 M6.68 M 3.74 M Cash from financing activities 4.17 M12.35 M20.09 M20.1 M17.81 M 8.23 M Free cash flow 11.94 M15.13 M11.13 M11.02 M10.01 M 5.95 M