Financials
Value 202020212022202320242025 TTM Cash from investing activities -210.07 M-4.08 M57.66 M95.09 M54.83 M-15.89 M -8.19 M Cash from financing activities 292.75 M97.09 M654 K493 K194 K82.46 M — Free cash flow -26.43 M-44.67 M-73.61 M-101.06 M-97.2 M-45.73 M -61.93 M