Financials
Value 202020212022202320242025 TTM Cash from investing activities 13.13 M61.05 M3.78 M5.84 M10.74 M9.84 M — Cash from financing activities 23.36 M18.59 M9.34 M22.68 M13.91 M18.34 M — Free cash flow 19.11 M8.82 M28.59 M4.32 M47.59 M25.49 M —