Financials
Value 202020212022202320242025 TTM Cash from investing activities 35.65 M8.14 M8.3 M4 0009 0001.69 M — Cash from financing activities 84.37 M73.46 M11.45 M21.44 M8.42 M7.32 M — Free cash flow 48.58 M65.05 M29.18 M35.82 M9.37 M9.65 M —