Financials
Value 20202021202220232024 TTM Cash from investing activities 72.35 M51.91 M126.13 M51.84 M65.44 M 82.82 M Cash from financing activities 16.18 M27.41 M31.79 M59.06 M7.73 M 53.75 M Free cash flow -51.61 M16.02 M-46.66 M-28.7 M-29.32 M -24.82 M