Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.36 M-1.68 M36.88 K-231.44 K-10.63 K-22.63 K — Cash from financing activities 11.31 K-17.66 K0063.02 K-124.9 K — Free cash flow 2.33 M1.08 M1.61 M-767.31 K-976.47 K-1.44 M —