Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.1 M-145.68 M57.77 M-13.2 M47.32 M-8.98 M — Cash from financing activities 17.71 M40.11 M-49.57 M-42.78 M1.44 M-6.21 M — Free cash flow 45.25 M56.64 M42.37 M64.09 M40.24 M2.88 M 130.25 M