Financials
Value 20212022202320242025 TTM Cash from investing activities -25.64 M-32.29 M-7.71 M2.12 M-1.9 M -1.62 M Cash from financing activities 238.15 M3.58 M640 K287 K16.07 M 16.14 M Free cash flow -50.85 M-90.58 M-30.22 M-63.86 M-58.23 M -41.84 M