Financials
Value 202020212022202320242025 TTM Cash from investing activities 435.22 M5.16 M10.76 M25.03 M25.55 M35.33 M — Cash from financing activities 455.27 M15.35 M9.78 M1.44 M5.79 M8.94 M — Free cash flow 19.9 M21.23 M17.82 M20.09 M22.25 M29.87 M —