Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.82 M4.1 M-58.17 M15.39 M17.07 M26.27 M 18.77 M Cash from financing activities 19.74 M450.4 K-14.03 M-1.36 M103.91 K11.81 M 15.79 M Free cash flow 28.17 M41.08 M6.57 M-22.08 M-29.16 M-29.84 M -28.99 M