Financials
Value 202020212022202320242025 TTM Cash from investing activities 17.09 M24.17 M-90.96 M33.35 M-85.39 M100.31 M 114.86 M Cash from financing activities 93.59 M19.89 M75.26 M30 K161.88 M65.09 M — Free cash flow -42.2 M-42.1 M-27.57 M-33.46 M-70.76 M-113.29 M -131.17 M