Financials
Value 202020212022202320242025 TTM Cash from investing activities -7.09 M-9.92 M-17.77 M-6.22 M-9.22 M-65.13 M -65.13 M Cash from financing activities 23.98 M-47.23 M-23.16 M-26.44 M-12.96 M-6.22 M -6.22 M Free cash flow 14.92 M10.15 M13.47 M27.64 M34.06 M41.33 M 41.33 M