Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.71 M-13.19 M-58.12 M17.84 M58.3 M71.54 M -73.81 M Cash from financing activities 102.08 M-2.78 M16.32 M10.59 M-6.78 M10.92 M -5.93 M Free cash flow 4.68 M-12.98 M-18.87 M-18.88 M4.9 M10.64 M 20.11 M