Financials
Value 202020212022202320242025 TTM Cash from investing activities -16.15 M33.06 M35.64 M-176.48 M-100.99 M-81.1 M — Cash from financing activities -35.38 M-66.09 M-134.14 M6.81 M-126.01 M-54.21 M — Free cash flow 44.67 M97.99 M130.31 M174.7 M210.52 M116.64 M —