Financials
Value 202020212022202320242025 TTM Cash from investing activities -8.7 M——-2 776-3 244-850 K — Cash from financing activities 17.87 M9.8 M-388.84 K6.27 M7.73 M16.58 M 12.39 M Free cash flow -3.14 M-8.72 M-9.61 M-8.06 M-11.25 M-11.39 M -12.25 M