Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.31 M-22.89 M-31.31 M-23.69 M-14.15 M-25.59 M -34.29 M Cash from financing activities 14.78 M50.7 M53.63 M9.09 M44.62 M26.41 M 36.9 M Free cash flow 2.48 M-20.65 M-22.87 M13.82 M-32.93 M-22.74 M -39.33 M