Financials
Value 202020212022202320242025 TTM Cash from investing activities -9.23 M-2.08 M-48.26 M-56.49 M-105.31 M-1.08 M -15.11 M Cash from financing activities 3.72 M-15.56 M38.18 M21.14 M65.91 M-11.56 M -92.67 M Free cash flow 4.42 M13.3 M29.65 M44.65 M24.83 M5.86 M 4.46 M