Financials
Value 202020212022202320242025 TTM Cash from investing activities 17.39 M3.55 M-481 K-34.32 M-8.4 M-17.95 M — Cash from financing activities 629 K1.05 M35.76 M22.92 M19.39 M29.62 M — Free cash flow -6.89 M-8.92 M-11.88 M-10.46 M-13.62 M-16.12 M —