Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.02 M-9.27 M4.15 M2.35 M1.56 M839 K — Cash from financing activities 44.38 M12.38 M-2.16 M-4.34 M2.48 M2.42 M — Free cash flow -18.88 M-31.25 M-25.5 M2.39 M529 K-1.98 M —