Financials
Value 202020212022202320242025 TTM Cash from investing activities -65.59 M-52.75 M-42.64 M-74.7 M-16.41 M-16.41 M — Cash from financing activities -95.54 M-111.54 M-4.72 M-2.75 M-17.34 M-17.34 M — Free cash flow 135.94 M157.28 M76.65 M6.69 M-16.84 M-16.84 M -28.02 M