Financials
Value 202020212022202320242025 TTM Cash from investing activities 35.85 M56.56 M124.12 M44.16 M32.13 M37.3 M 37.3 M Cash from financing activities 43.93 M15.95 M45.98 M44.3 M28.77 M25.76 M 25.76 M Free cash flow 39.63 M12.29 M-26.69 M41.57 M43.09 M17.53 M 17.53 M