Financials
Value 202020212022202320242025 TTM Cash from investing activities —-38.54 M-37.38 M-8.33 M-7.2 M-175.07 M -177.05 M Cash from financing activities —74.21 M76.56 M9.06 M43.72 M397.5 M 406.38 M Free cash flow —-37.36 M-31.66 M1.23 M-17.35 M-177.33 M -138.92 M