Financials
Value 202020212022202320242025 TTM Cash from investing activities —-8.59 M-38.45 M-29.88 M-10.87 M-39.08 M -32.13 M Cash from financing activities —155.21 M-6.18 M1.12 M-24.15 M-50.82 M -44.76 M Free cash flow —-1.95 M28.87 M-115.24 M70.34 M34.45 M 20.58 M