Financials
Value 202020212022202320242025 TTM Cash from investing activities -167.46 K-10.61 M-475.7 K-302.37 K22.49 K-31.99 M -49.74 M Cash from financing activities 12.95 M50.34 M6.72 M148.9 K3.94 M52.01 M 59.65 M Free cash flow -12.26 M-12.21 M-12.37 M-13.49 M-11.97 M-42.58 M -5.63 M