Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.03 M8.17 M63.8 M21.21 M10.82 M44.03 M 35.89 M Cash from financing activities 96 K30.3 M103.86 M15.22 M179 K24.83 M 24.81 M Free cash flow 4.13 M15.39 M26.08 M10.89 M7.62 M18.9 M 22.68 M