Financials
Value 202020212022202320242025 TTM Cash from investing activities -42.56 M10.75 M26.96 M8.88 M-4.42 M9.55 M 12.29 M Cash from financing activities 92.17 M695 K-139 K20.9 M27.97 M15.21 M 4.47 M Free cash flow -32.06 M-31.5 M-22.88 M-25.73 M-21.15 M-21.21 M -21.18 M