Financials
Value 202020212022202320242025 TTM Cash from investing activities -15.22 M-16.71 M-15.12 M10.84 M-2.45 M-34 M -56.04 M Cash from financing activities -2.11 M3.24 M-3.31 M-2.77 M-5.57 M59.34 M 59.53 M Free cash flow 15.16 M25.8 M6.92 M-6.33 M3.47 M-3.36 M -837 K