Financials
Value 202020212022202320242025 TTM Cash from investing activities -34.42 M-12.54 M-52.49 M-57 M-3.64 M35.17 M -28.64 M Cash from financing activities -48.32 M-71.45 M-8.51 M-18.23 M-48.72 M25 M -4.16 M Free cash flow 67.72 M59.36 M34.94 M57.55 M35.9 M40.06 M 40.06 M