Financials
Value 202020212022202320242025 TTM Cash from investing activities 3.82 M11.84 M2.28 M5.17 M13.88 M1.93 M — Cash from financing activities 34.18 M7.27 M5.58 M70.07 M20.95 M-15.42 M — Free cash flow 30.82 M6.01 M1.14 M85.22 M62.22 M11.04 M —