Financials
Value 202020212022202320242025 TTM Cash from investing activities -66.37 M-41.64 M45.6 M-28.02 M-22.59 M-33.3 M — Cash from financing activities -22.43 M2.69 M16.46 M16.29 M-4.75 M-15.09 M — Free cash flow 28.38 M48.48 M-41.2 M-14.54 M98.09 M22.11 M —