Financials
Value 202020212022202320242025 TTM Cash from investing activities -116.75 K-6.64 M-1.34 M-42.38 K-123.96 K-12.41 K — Cash from financing activities 11.34 M27.21 M9.94 M-1.63 M-18 K1.99 M — Free cash flow 6.34 M-18.03 M-11.99 M-13.49 M790.18 K-1.53 M -13.57 M