Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.77 M-33.96 M-50.67 M-104.13 M-11.71 M-151.53 M -151.53 M Cash from financing activities -30.63 M19.5 M-1.75 M64.31 M-78.56 M114.26 M 114.26 M Free cash flow 28.73 M-24.85 M-6.18 M23.77 M77.71 M26.91 M 26.91 M