Financials
Value 202020212022202320242025 TTM Cash from investing activities -52.33 M-23.01 M-24.53 M-33.13 M-27.58 M-34.6 M -34.6 M Cash from financing activities 3.25 M-3.62 M-78 K65.32 M50.71 M-786 K -786 K Free cash flow 57.18 M-1.12 M-34.7 M-107.8 M-9.09 M-1.28 M -1.28 M