Financials
Value 20212022202320242025 TTM Cash from investing activities -5.24 M-49.76 M-1.58 M-12.41 M9.05 M 38.23 M Cash from financing activities 143.37 M-529 K109 K-3.53 M-29.65 M -28.2 M Free cash flow -22.11 M-46.83 M-8.3 M12.23 M14.54 M 16.24 M