Financials
Value 20202021202220232024 TTM Cash from investing activities -8.4 M-13.64 M-156.38 M74.35 M46.34 M 46.34 M Cash from financing activities 19.57 M17.79 M8.3 M7.42 M-4.55 M -4.55 M Free cash flow 12.55 M30.32 M17.61 M-3.59 M-40.05 M -40.05 M