Financials
Value 20212022202320242025 TTM Cash from investing activities -170.88 M-122.72 M37.9 M65.86 M61.55 M 55.01 M Cash from financing activities 116.63 M3.89 M452 K-11.49 M-10.57 M -11.67 M Free cash flow -46.35 M-60.78 M-59.06 M-46.11 M-44.45 M -48.47 M