Financials
Value 2022202320242025 TTM Cash from investing activities -10.1 M-106.35 M-136.78 M-111.87 M -83.27 M Cash from financing activities -47.25 M43.46 M133.34 M-5.06 M -6.73 M Free cash flow 50.93 M54.94 M59.33 M90.04 M 88.56 M