Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.76 M-19.67 M-26.05 M-24.44 M93.69 M210.96 M — Cash from financing activities 37.62 M25.43 M28.71 M31.74 M-70.79 M241.53 M — Free cash flow -19.39 M-8.51 M-1.84 M-7.26 M-19.51 M26.42 M —