Financials
Value 202020212022202320242025 TTM Cash from investing activities ———263.25 M-4.79 M-3.4 M -1.38 M Cash from financing activities —301.87 M785 K-262.35 M14.15 M14.24 M 7.1 M Free cash flow —-1.04 M-1.53 M-975 K-9.72 M-8.28 M -7.81 M