Financials
Value 20202021202220242025 TTM Cash from investing activities -201.16 K-117.57 K-243.73 K-2.25 M-925 K -684 K Cash from financing activities 81.52 K4.02 M1.18 M11.65 M9.69 M 15.27 M Free cash flow 171.02 K-2.01 M-330.27 K-8.56 M-10.28 M -8.65 M