Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.32 M2.19 M5.17 M4.2 M9.11 M14.87 M 14.87 M Cash from financing activities 8.66 M12.77 M887 K30.38 M5.36 M1.39 M 1.39 M Free cash flow 71.45 M60.12 M18.27 M39.14 M21.04 M47.99 M 47.99 M