Financials
Value 202020212022202320242025 TTM Cash from investing activities 18.55 M20.34 M44.62 M2.72 M31.89 M44.09 M 44.09 M Cash from financing activities 7.63 M86.43 M283.02 M281.86 M73.07 M127.17 M 127.17 M Free cash flow 1.14 M168.13 M256.8 M219.33 M113.47 M98.84 M 98.84 M