Financials
Value 202020212022202320242025 TTM Cash from investing activities -27.21 M-24.43 M-36.67 M-19.11 M-13.88 M-14.96 M -14.96 M Cash from financing activities -17.37 M-6.54 M-25.02 M-23.23 M-34.15 M-34.55 M -34.55 M Free cash flow 41.94 M34.74 M33.19 M35.32 M46.91 M49.09 M 49.09 M