Financials
Value 202020212022202320242025 TTM Cash from investing activities -20.98 M-38.41 M62.52 M-25.97 M9.06 M-1.32 M — Cash from financing activities 33.08 M60.98 M150 K360 K6.45 M10.38 M — Free cash flow -11.01 M-17.54 M-23.95 M-23.52 M-13.01 M-10.42 M —