Financials
Value 20212022202320242025 TTM Cash from investing activities -56.93 M41.97 M8.32 M-8.18 M-8.67 M — Cash from financing activities 237.77 M-1.57 M-2.82 M11.59 M30.18 M — Free cash flow -57.94 M-70.09 M-48.58 M-42.82 M-35.89 M —