Financials
Value 202020212022202320242025 TTM Cash from investing activities —7.23 M-56.88 M-16.39 M4.07 M-866.67 K -255.69 K Cash from financing activities —271.15 M19.45 M-48.14 M1.23 M4.9 M 5.41 M Free cash flow —-21.48 M-69.4 M-58.46 M-21.36 M-12.62 M -10.47 M