Financials
Value 202020212022202320242025 TTM Cash from investing activities -68.31 M-34.88 M-7.29 M-40.53 M-24.36 M41.98 M — Cash from financing activities -6.08 M-25.25 M9.16 M-23.78 M-3.04 M-3.88 M — Free cash flow 47.62 M20.68 M-23.31 M66.53 M31.87 M-38.03 M -272.14 M