Financials
Value 202020212022202320242025 TTM Cash from investing activities -46 M-1.38 M47.39 M-1.11 M132.83 K-179.83 M -182.84 M Cash from financing activities 46.82 M1.38 M-40.43 M418.32 K3 M181.99 M 194.46 M Free cash flow -137.08 K-430.91 K-1.13 M-1.23 M-3.82 M-6.23 M -9.96 M