Financials
Value 202020212022202320242025 TTM Cash from investing activities -16.42 M-38.81 M-25.22 M-2.6 M-4.45 M-6.83 M -6.83 M Cash from financing activities 52.66 M5.72 M38.03 M8.61 M-536 K107.09 M 107.09 M Free cash flow -13.99 M-32.95 M-37.23 M-7.07 M-17.88 M-18.78 M -18.78 M