Financials
Value 202020212022202320242025 TTM Cash from investing activities —-77.71 M38.31 M51.72 M-26 K-128 K -128 K Cash from financing activities —124.63 M-2.56 M276 K16.18 M85.05 M 85.05 M Free cash flow —-48.84 M-44.23 M-40.36 M-17.64 M-30.52 M -30.37 M