Financials
Value 202020212022202320242025 TTM Cash from investing activities 10.48 M13.36 M-273.1 M24.93 M-39.78 M-32.01 M — Cash from financing activities -73.1 M-59.19 M84.88 M-71.14 M-21.67 M-36.91 M — Free cash flow 17.1 M72.31 M-71.44 M40.65 M79.81 M45.84 M —