Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.98 M-26.33 M-1.68 M-2.55 M-49.95 M-3.87 M -3.75 M Cash from financing activities -15.69 M19.64 M518 K5.49 M29.86 M-4.68 M -6.05 M Free cash flow 21.72 M4.33 M-1.26 M1.93 M16.64 M10.99 M 9.88 M