Financials
Value 20202022202320242025 TTM Cash from investing activities -1.17 M-19.33 M1.61 M37.36 M12.45 M 3.73 M Cash from financing activities 64.05 M900 K40.37 M3.51 M14.94 M 20.67 M Free cash flow -25.9 M-19.09 M-38.01 M-48.94 M-31.2 M -30.96 M