Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.12 M-3.94 M-4.98 M-10.89 M26.96 M-8.44 M -8.44 M Cash from financing activities -5.17 M-5.86 M-6.3 M-5.52 M-6.71 M-8.95 M -8.95 M Free cash flow 15.61 M5.48 M13.79 M2.92 M29.82 M33.17 M 33.17 M