Financials
Value 202020212022202320242025 TTM Cash from investing activities —-7.93 M-171.96 M65.97 M14.13 M-38.12 M -36.06 M Cash from financing activities —37.49 M-2.58 M-2.63 M43.82 M82.08 M 144.77 M Free cash flow —-51.51 M-148.14 M-70.13 M-24.29 M-153.4 M -64.23 M