Financials
Value 202020212022202320242025 TTM Cash from investing activities 110.41 M25.72 M28.39 M56.6 M33.97 M50.35 M 50.35 M Cash from financing activities 20.49 M6.21 M23.7 M13.04 M4.52 M36.27 M 36.27 M Free cash flow 17.07 M17.04 M26.09 M36.67 M29.52 M31.16 M 31.16 M