Financials
Value 20212022202320242025 TTM Cash from investing activities -1.28 M-15.74 M1.07 M-39.47 M-64.55 M -31.14 M Cash from financing activities 135.64 M43 K68.98 M35.1 M120.48 M 103.33 M Free cash flow -47.93 M-37.09 M-35.44 M-38.01 M-51.22 M -53.61 M