Financials
Value 202020212022202320242025 TTM Cash from investing activities 49.86 M70.68 M-18.5 M-33 M-59.81 M-15.93 M — Cash from financing activities -97.9 M-40.85 M-2.95 M12.14 M-8.82 M-10.24 M — Free cash flow 61.65 M19.8 M19.97 M14.34 M19.57 M-2.33 M —