Financials
Value 202020212022202320242025 TTM Cash from investing activities 6 696-115.36 K-604.83 K-16.24 K-320.04 K22.36 K — Cash from financing activities 7.25 M13.63 M5.68 M-36.03 K9.59 M17.25 M — Free cash flow 4.12 M-7.22 M-7.65 M-6.94 M-10.29 M-17.59 M —