Financials
Value 20202021202320242025 TTM Cash from investing activities 59.79 K-897.25 K-3.59 M-3.07 M-14.97 M — Cash from financing activities -4.69 M21.28 M11.58 M-8.81 M10.77 M — Free cash flow 2.54 M-5.65 M-2.45 M12.99 M-8.48 M —