Financials
Value 202020212022202320242025 TTM Cash from investing activities -139.31 M42.62 M-19.67 M19.98 M17.81 M-1.55 M — Cash from financing activities 77.09 M-51.48 M-48.6 M-28.86 M-24.86 M-41.28 M — Free cash flow 38.48 M47.34 M8.28 M14.89 M35.25 M29.36 M 56.18 M