Financials
Value 20202021202220232024 TTM Cash from investing activities 145 K14.83 M31.59 M16.73 M101.41 M 94.92 M Cash from financing activities 346.28 M85.36 M19.19 M16.81 M79.43 M 88.48 M Free cash flow 19.74 M44.85 M63.49 M33.16 M41.46 M 13.29 M