Financials
Value 20212022202320242025 TTM Cash from investing activities —-28.43 M99.81 M117.32 M-8.97 M 50.47 M Cash from financing activities —28.98 M-94.77 M-113.01 M14.41 M -5.48 M Free cash flow —-1.7 M-5.08 M-3.43 M-25.09 M -31.86 M