Financials
Value 202020212022202320242025 TTM Cash from investing activities 177.63 M110.45 M-7.51 M5.76 M3.65 M698 K — Cash from financing activities -32.11 M-54.07 M-70 K-3.18 M-10.13 M-22.89 M — Free cash flow -205.59 M-37.83 M-21.67 M31.42 M11.57 M-16.62 M —