Financials
Value 202020212022202320242025 TTM Cash from investing activities -611.11 K-36.82 M-28.4 M-65.3 M-8.73 M5.75 M — Cash from financing activities -6.24 M22.61 M3.01 M30.47 M1.73 M-4.74 M — Free cash flow 2.33 M39.14 M32.99 M11.81 M4.81 M12.76 M —