Financials
Value 20212022202320242025 TTM Cash from investing activities —-3.52 M58.04 M12.32 M6.07 M 7.55 M Cash from financing activities —3.82 M-57.05 M-11.03 M-4.74 M -10.13 M Free cash flow —-976.31 K-1.35 M-1.46 M-1.33 M -4.86 M