Financials
Value 202020212022202320242025 TTM Cash from investing activities 23.32 M27.12 M-37.66 M-33.03 M-13.47 M-7.43 M -7.43 M Cash from financing activities -66.42 M-40 M19.01 M6.96 M7.72 M-16.36 M -16.36 M Free cash flow 65.2 M10.44 M-31.7 M-7.51 M-14.59 M8.65 M 8.65 M