Financials
Value 202020212022202320242025 TTM Cash from investing activities 181 K148.75 M26.88 M89.71 M32.84 M53.42 M 53.42 M Cash from financing activities 10.13 M220.08 M41.76 M20.37 M26.83 M78.19 M 78.19 M Free cash flow 67.24 M55.87 M66 M69.81 M58.23 M58.01 M 58.01 M