Financials
Value 20202021202220232025 TTM Cash from investing activities -1.92 M-4.45 M-593 K9.43 M-3.92 M -3.92 M Cash from financing activities -5.24 M-17.36 M-29.89 M-11.17 M-70.92 M -70.92 M Free cash flow 7.99 M22.99 M31.88 M36.98 M47.58 M 47.58 M