Financials
Value 202020212022202320242025 TTM Cash from investing activities 15.9 M19.3 M17.66 M15.31 M13.93 M8.71 M 8.71 M Cash from financing activities 542 K15.39 M16.91 M4.83 M7.62 M13.19 M 13.19 M Free cash flow 2.58 M14.27 M18.06 M1.09 M7.11 M13.79 M 13.79 M