Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.15 M-6.51 M-6.87 M-1.44 M-4.73 M-17.58 M -17.58 M Cash from financing activities -75.66 M-2.56 M-49.3 M-40.64 M-18.09 M-51.89 M -51.89 M Free cash flow 89.68 M6.19 M9.34 M47.88 M45.76 M24.52 M 24.52 M