Financials
Value 202020212022202320242025 TTM Cash from investing activities 581.29 K-15.95 M-5.91 M9.46 M-35.26 M-92.86 M -89.22 M Cash from financing activities -3.27 M-3.57 M-5.51 M-1.12 M-2.99 M506.07 K -3.64 M Free cash flow -10.23 M24.35 M-915.52 K-11.33 M57.95 M75.86 M 66.72 M