Financials
Value 202020212022202320242025 TTM Cash from investing activities 6.9 M-91.57 M47.24 M-20.13 M17.23 M-5.05 M 10.86 M Cash from financing activities 16.14 M110.03 M5.45 M66.23 M39.86 M66.01 M 47.24 M Free cash flow -15.3 M-33.08 M-41.89 M-33.22 M-69.12 M-61.99 M -59.08 M