Financials
Value 202020212022202320242025 TTM Cash from investing activities 3.94 M-3.23 M-3.01 M-3.99 M-3.12 M3.31 M 47.66 M Cash from financing activities 23.77 M42.71 M11.07 M13.53 M-971 K11.72 M 10.13 M Free cash flow -3.71 M-9.16 M-12.83 M-18.81 M-19.81 M-20.61 M -18.47 M