Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.18 M2.46 M267 K85.08 M156 K138 K 138 K Cash from financing activities 172.62 M30.37 M262 K16.03 M171.71 M173.35 M 173.35 M Free cash flow 97.63 M95.56 M96.94 M63.18 M58.92 M59.87 M 59.87 M