Financials
Value 20202021202220232024 TTM Cash from investing activities 68.07 M26.52 M90.64 M69.14 M40.17 M 128 M Cash from financing activities 7.6 M53.06 M614 K13.82 M29.45 M 191.21 M Free cash flow 62.49 M90.3 M84.36 M22.49 M51.09 M 55.7 M