Financials
Value 20202021202220232024 TTM Cash from investing activities 60.9 K7.95 M-4.34 M-11.24 M-2.67 M -4.77 M Cash from financing activities 497.47 K14.04 M-48.13 M-2.27 M1.09 M 49.17 M Free cash flow 1.48 M-6.7 M35.97 M-9.28 M20.85 M 177.33 M