Financials
Value 202020212022202320242025 TTM Cash from investing activities 115.88 M136.1 M76.07 M48.49 M74.96 M86.9 M 86.9 M Cash from financing activities 35 M82.78 M58.91 M49.05 M177.01 M39 M 39 M Free cash flow -8.9 M14.89 M-39.77 M20.92 M-1.69 M9.4 M 9.4 M