Financials
Value 202020212022202320242025 TTM Cash from investing activities —-138.96 M-25.74 M-43.73 M66.25 M35.22 M 35.22 M Cash from financing activities —327.45 M562 K368 K1.14 M214 K 214 K Free cash flow —-41.51 M-48.13 M-54.15 M-61.27 M49.42 M -27.22 M