Financials
Value 202020212022202320242025 TTM Cash from investing activities -662-19.96 M18.47 M-54.72 M-105.91 M-163.46 M — Cash from financing activities -9.04 M34.78 M-27.51 M131.65 M195.88 M350 K — Free cash flow 9.86 M-8.63 M-3.25 M1.35 M1.18 M-12.79 M —