Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.72 M-25.25 M17.84 M19.82 M6.01 M-14.47 M — Cash from financing activities 18.36 M70.53 M-8.34 M-6.75 M-739.85 K695.28 K — Free cash flow 2.39 M23.65 M-29.68 M34.95 M-75.72 M-26.88 M 0