Financials
Value 202020212022202320242025 TTM Cash from investing activities 62.92 M51.58 M2.81 M59.8 M12.62 M4.16 M 4.16 M Cash from financing activities 136.4 M1.71 M2.2 M90.93 M1.96 M3.38 M 3.38 M Free cash flow 28.1 M33.14 M32.15 M10.91 M1.93 M-7.74 M -7.74 M