Financials
Value 202020212022202320242025 TTM Cash from investing activities -63.18 M-6.51 M6.61 M2.75 M-9.89 M-5.37 M — Cash from financing activities 92.06 M248.28 M00—— — Free cash flow -15.83 M-14.07 M4.3 M-11.65 M-17.61 M-9.05 M -12.97 M