Financials
Value 202020212022202320242025 TTM Cash from investing activities -10.33 M-15.38 M-12.57 M-19.18 M-12.42 M-23.54 M -23.54 M Cash from financing activities -3.33 M-15.83 M-23.25 M-17.92 M-45.2 M-88.25 M -88.25 M Free cash flow 14.28 M20.04 M23.11 M38.6 M59.36 M72.99 M 72.99 M