Financials
Value 202020212022202320242025 TTM Cash from investing activities 6.51 M268.96 K12.12 M-269.58 K-1.5 M-1.95 M — Cash from financing activities 24.17 M38.21 M-2.07 M-3.13 M11.62 M6.1 M — Free cash flow 19.13 M-20.75 M-28.33 M-10.83 M-6.88 M-8.24 M —