Financials
Value 20202021202220232024 TTM Cash from investing activities 981 K18.69 M-1.74 M-152.55 M-33.16 M -38.29 M Cash from financing activities 1.43 M51.47 M54.14 M126.53 M28.53 M 22.3 M Free cash flow 106 K3.21 M-1.07 M2.36 M-23.88 M 16.55 M