Financials
Value 202020212022202320242025 TTM Cash from investing activities —-8.31 M-13.24 M-1.9 M-681 K-1.57 M -1.57 M Cash from financing activities —-30.68 M-16.19 M-63.95 M-34.46 M-72.11 M -72.11 M Free cash flow —62.21 M48.2 M60.7 M-22.83 M44.39 M 44.39 M