Financials
Value 202020212022202320242025 TTM Cash from investing activities 30.68 M41.63 M10.56 M5.82 M4.38 M10.55 M 11.58 M Cash from financing activities 121.55 M41.51 M19.61 M5.33 M225 K87 M 87.57 M Free cash flow 25.78 M62.34 M-15.31 M2.37 M12.2 M46.82 M 74.57 M