Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.48 M37.85 M-21.35 M7.37 M-46.97 M-86.2 M -86.2 M Cash from financing activities -18.62 M-20.01 M-12.55 M-2.94 M-3.33 M-3.87 M -3.87 M Free cash flow 17.91 M19.92 M-8.1 M-15.14 M-27.56 M-27.32 M -27.32 M