Financials
Value 202020212022202320242025 TTM Cash from investing activities 11.8 M53.67 K-3.31 M-8.14 M-10.29 M18 M 12.11 M Cash from financing activities 3.69 M20.45 M2.66 M21.34 M33.52 M43.95 M 43.92 M Free cash flow -4.42 M-10.75 M-17.69 M-15.26 M-14.23 M-15.54 M -12.94 M