Financials
Value 202020212022202320242025 TTM Cash from investing activities 85 K-12.58 M8.98 M7.09 M1.78 M-25 K — Cash from financing activities 45.28 M14.16 M04.18 M903 K9.48 M — Free cash flow -11.49 M-12.13 M-17.06 M-14.93 M-11.05 M-10.45 M —