Financials
Value 202020212022202320242025 TTM Cash from investing activities -27.42 M-5.59 M-156 K4.78 M492 K-9.11 M — Cash from financing activities 3.43 M-6.24 M-6.24 M1.92 M-384 K7.15 M — Free cash flow 21.73 M11.89 M-524 K-6.76 M1.7 M690 K —