Financials
Value 202020212022202320242025 TTM Cash from investing activities -101 K5.29 M-3.29 M10.15 M-12.47 M-10.93 M — Cash from financing activities -10.47 M3.65 M-306 K-5.04 M1.49 M19.95 M — Free cash flow -16.68 M1.35 M-3.99 M-16.75 M-16.64 M-37.8 M —