Financials
Value 202020212022202320242025 TTM Cash from investing activities -865.05 K400.01 K-7.35 M-6.95 M-9.56 M-2.11 M — Cash from financing activities ——2.75 M15.14 M8.2 M0 — Free cash flow 1.65 M-519.17 K3.71 M-587.72 K-979.03 K-1.54 M —