Financials
Value 20202021202220232024 TTM Cash from investing activities 71.62 K-10.61 M-1.08 M-725.9 K-3.29 M -5.69 M Cash from financing activities 217.93 K30.63 M-224.22 K-2.37 M21.18 M 19.42 M Free cash flow 449.87 K-3.26 M-3.43 M-4.44 M-5.34 M -6.87 M