Financials
Value 202020212022202320242025 TTM Cash from investing activities -31.7 M-167.8 M-6.13 M7.71 M-1.58 M1.48 M — Cash from financing activities 86.54 M86.48 M41.93 M-41.55 M477 K24.84 M — Free cash flow 24.11 M-36.47 M-114.2 M42.07 M-24.39 M-25.69 M —