Financials
Value 20212022202320242025 TTM Cash from investing activities -468.18 M-8.49 M-4.17 M1.67 M-841 K -612 K Cash from financing activities 464.71 M-20.2 M6.07 M-4.78 M-5.44 M -5.17 M Free cash flow -45.07 M21.99 M7.04 M-324 K-14.06 M -3.06 M