Financials
Value 202020212022202320242025 TTM Cash from investing activities 146 K67 K9.74 M9.46 M264 K161 K 161 K Cash from financing activities 144.43 M42.84 M95.76 M1.03 M74.54 M65.58 M 65.58 M Free cash flow 45.98 M83.17 M65.03 M70.49 M84.5 M85.64 M 85.64 M