Financials
Value 202020212022202320242025 TTM Cash from investing activities 18.54 M71.96 M29.01 M18.46 M98.92 M16.96 M — Cash from financing activities 41.46 M77.39 M9.72 M7.37 M60.27 M14.99 M — Free cash flow 6.24 M20.75 M26.91 M4.46 M11.29 M11.37 M —