Financials
Value 202020212022202320242025 TTM Cash from investing activities 823 K-128.25 M-32.54 M10.74 M-1.12 M-109.69 K -109.69 K Cash from financing activities 197 K109.85 M13.99 M-4.65 M-830.07 K14.19 M 14.19 M Free cash flow -1.52 M-105.22 M-35.72 M-7.9 M1.6 M-7.05 M -7.05 M