Financials
Value 202020212022202320242025 TTM Cash from investing activities 23.17 M17.8 M6.04 M20.9 M19.64 M75.67 M 3.35 M Cash from financing activities 2.54 M30.88 M41.2 M43.95 M52.7 M24.4 M 24.49 M Free cash flow 49.11 M52.38 M-10.23 M111.5 M39.06 M18.95 M 1.84 M