Financials
Value 202020212022202320242025 TTM Cash from investing activities 010.14 M-14.19 M10.79 M3.74 M1.52 M — Cash from financing activities 246.99 K-9.98 M12.14 M-1.04 M24.05 M19.61 M — Free cash flow -503.88 K-670.27 K-19.3 M-42.28 M-29.04 M-25.94 M 17.81 M