Financials
Value 202020212022202320242025 TTM Cash from investing activities 70.5 M14.08 M19.6 M18.13 M18.85 M68.24 M — Cash from financing activities 73.97 M63.42 M17.44 M20.32 M35.12 M182.9 M — Free cash flow 18.92 M50.95 M1.18 M1.01 M3.07 M3.94 M —