Financials
Value 202020212022202320242025 TTM Cash from investing activities -64.82 M-58.84 M-18.79 M-5.91 M-10.51 M-31.67 M -31.67 M Cash from financing activities -29.34 M57.07 M-43.3 M-49.51 M-128.28 M148.27 M 148.27 M Free cash flow 37.54 M62.06 M22.59 M61.17 M62.44 M43.84 M 43.84 M