Financials
Value 202020212022202320242025 TTM Cash from investing activities 00-3.63 M-4.24 M-27 K27 K — Cash from financing activities -59.83 M-57.55 M-70.84 M-66.27 M-97.73 M117.38 M — Free cash flow 68.6 M79.59 M53.69 M60.15 M92.13 M90.27 M —