Financials
Value 20202021202220232024 TTM Cash from investing activities -17.48 M-3.46 M-14.34 M-73.67 M-2.62 M — Cash from financing activities -93.08 M30.51 M9.01 M-95.67 M-115.05 M — Free cash flow 103.87 M-48.91 M-71.28 M65.78 M125.54 M —