Financials
Value 20202021202220232024 TTM Cash from investing activities 200 K48.15 M25.05 M8.81 M4.54 M 2.83 M Cash from financing activities 12.27 M11.47 M18.28 M7.47 M3.64 M 1.42 M Free cash flow 50.47 M28.47 M29.23 M25 M37.52 M 49.81 M