Financials
Value 20202022202320242025 TTM Cash from investing activities -11.9 M-18.7 M-39.7 M-51.1 M-32.9 M -32.9 M Cash from financing activities 400 K32.4 M-20.8 M-24 M-60.5 M -60.5 M Free cash flow -77.1 M-19.9 M58.5 M-10.9 M-41.6 M -41.6 M