Financials
Value 202020212022202320242025 TTM Cash from investing activities -120.93 K-56.04 M-15.12 M-2.13 M17.47 M2.25 M 54.95 K Cash from financing activities 20.1 M103.42 M6.06 M3.19 M-21.42 M1.1 M -1.24 M Free cash flow 1.64 M-16.68 M-31.86 M7.48 M5.16 M-6.1 M -3.78 M