Financials
Value 202020212022202320242025 TTM Cash from investing activities 8.63 M35.82 M23.03 M12.75 M73.48 M308.5 M — Cash from financing activities 11 M36.67 M24.37 M14.05 M74.41 M314.71 M — Free cash flow 1.48 M1.12 M1.85 M1.09 M1.21 M5.52 M —