Financials
Value 20212022202320242025 TTM Cash from investing activities 21.31 M-4.25 M-397 K6.26 M2.8 M -599 K Cash from financing activities 180.37 M903 K33.95 M14.5 M40.4 M 37.98 M Free cash flow -132.85 M-54.51 M-52.66 M-34.7 M-34.57 M -39.05 M