Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.2 M-1.99 M-624 K-2.18 M-3.9 M-1.03 M -1.03 M Cash from financing activities 70.81 M-77.81 M-17.8 M-42.33 M-6.45 M-61.48 M -61.48 M Free cash flow 23.44 M93.17 M106.81 M80.48 M13.7 M-4.22 M -4.22 M