Financials
Value 202020212022202320242025 TTM Cash from investing activities 450 M5.16 M5.32 M6.89 M6.86 M5.37 M 5.37 M Cash from financing activities 450.99 M159.25 M1 M1.94 M019.5 M 19.5 M Free cash flow 480.87 K33.73 M42.69 M673 K8.74 M13.48 M 13.48 M