Financials
Value 202020212022202320242025 TTM Cash from investing activities -14.78 M-14.67 M-28.17 M-49.9 M-36.46 M-93.72 M — Cash from financing activities -1 M52.98 M-170 K65.75 M2.14 M65.53 M — Free cash flow -27.46 M-21.38 M-3.97 M-22.75 M-28.91 M-23.63 M -15.69 M