Financials
Value 202020212022202320242025 TTM Cash from investing activities —-663 K-317 K-141 K-46.73 M-28.88 M -20.65 M Cash from financing activities —251.38 M1.68 M1.9 M-12.19 M-19 M -13.37 M Free cash flow —-65.71 M-61.08 M-16.39 M11.7 M8.53 M 5.36 M