Financials
Value 202020212022202320242025 TTM Cash from investing activities -21.03 M-9.65 M-37.83 M-1.95 M3.93 M-4.81 M -4.81 M Cash from financing activities 16.02 M9.58 M28.9 M-50.33 M-35.8 M-18.52 M -18.52 M Free cash flow -2.82 M-8.76 M6.41 M46.24 M34.01 M28.5 M 28.5 M