Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.81 M-41.08 M-60.74 M-14.5 M-27.17 M-19.67 M -19.67 M Cash from financing activities 904 K-6.21 M-499 K-3.54 M-2.47 M-4.61 M -4.61 M Free cash flow 48.61 M39.45 M56.82 M21.61 M31.25 M17.54 M 17.54 M