Financials
Value 202020212022202320242025 TTM Cash from investing activities —-37.73 M-18.87 M-31.51 M-6.79 M-5.16 M -5.16 M Cash from financing activities —959.03 M-205.24 M-37.45 M-158.34 M-174.93 M -174.93 M Free cash flow -1.11 M-43.98 M-123.99 M8.7 M9.34 M32.32 M 32.32 M