Financials
Value 202020212022202320242025 TTM Cash from investing activities 17.68 M-4.15 M-8.24 M-13.77 M-10.37 M-1.54 M -901 K Cash from financing activities -24.15 M-11.41 M-20.11 M-3.55 M-22.52 M-233 K -474 K Free cash flow 20.7 M39.86 M-13.42 M47.99 M-14.1 M-9.97 M 2.68 M