Financials
Value 202020212022202320242025 TTM Cash from investing activities —-183.43 M26.4 M41.43 M86.13 M-40.87 M -40.87 M Cash from financing activities —357.32 M1.61 M82.41 M47.66 M222.5 M 222.5 M Free cash flow —-61.36 M-116.77 M-119.51 M-132.25 M-139.93 M -139.93 M