Financials
Value 20212022202320242025 TTM Cash from investing activities -13.29 M-93.47 M42.15 M36.66 M14.33 M 12.24 M Cash from financing activities 216.75 M693 K149 K203 K19.77 M 19.64 M Free cash flow -54.96 M-58.55 M-45.08 M-44.15 M-31.06 M -37.05 M