Financials
Value 20212022202320242025 TTM Cash from investing activities -1.76 M-99.28 M64.14 M-34.9 M-5.81 M -5.81 M Cash from financing activities 131.74 M1.09 M75.98 M75.98 M135.47 M — Free cash flow -62.01 M-75.54 M-80.16 M-46 M-47.84 M -47.84 M