Financials
Value 202020212022202320242025 TTM Cash from investing activities -47.36 M87 K66.19 M-44.45 M59.97 M-9.62 M — Cash from financing activities 69.63 M6.88 M51.78 M134.19 M54.78 M263.31 M 224.57 M Free cash flow -33.51 M-53.5 M-63.67 M-86.46 M-104.77 M-137.51 M -150.95 M