Financials
Value 202020212022202320242025 TTM Cash from investing activities -26.48 M-5.13 M7.01 M906 K742 K-32 M -32 M Cash from financing activities 78.83 M-6.13 M2.3 M24.49 M8.93 M103.05 M 103.05 M Free cash flow -30.06 M-37.48 M-30.44 M-18.55 M-15.3 M-23.22 M -23.22 M