Financials
Value 20202021202220232024 TTM Cash from investing activities -58.07 M-19.25 M-17.26 M111.34 M-64.48 M — Cash from financing activities -23.12 M-29.13 M-25.85 M-174.18 M-38.25 M — Free cash flow 3.99 M15.81 M42.33 M77.36 M-2.67 M —