Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.93 M2.55 M3.53 M23.06 M3.44 M403 K 403 K Cash from financing activities 81.13 M1.26 M58.88 M29.13 M52.05 M16.42 M 16.42 M Free cash flow 19.42 M25.98 M41.67 M-49 K45.42 M23.01 M 23.01 M