Financials
Value 202020212022202320242025 TTM Cash from investing activities -6 649-2.66 M-47.65 M2.29 M-1.81 M-76.35 M -76.35 M Cash from financing activities 5.24 M116.06 M-10.05 M-3.01 M-241 K13.89 M 13.89 M Free cash flow -4.17 M-27.32 M-9.51 M33.05 M19.38 M-24.44 M -24.44 M