Financials
Value 202020212022202320242025 TTM Cash from investing activities 29.81 M38.01 M111.45 M108 M183.46 M237.4 M — Cash from financing activities 27.54 M56.65 M36.76 M48.92 M236 M287 M — Free cash flow 38.96 M23.46 M54.99 M11.77 M19.11 M67.4 M —