Financials
Value 202020212022202320242025 TTM Cash from investing activities -187 K-22.46 M8.44 M-16.09 M12.64 M-30.56 M -30.56 M Cash from financing activities 16.39 M35.03 M-140 K37.53 M18.45 M55.57 M 55.57 M Free cash flow -9.17 M-13.55 M-16.02 M-16.76 M-23.27 M-36.77 M -36.77 M