Financials
Value 202020212022202320242025 TTM Cash from investing activities -26.46 M26.42 M7.6 M-5 539-943.38 K-41.04 M — Cash from financing activities 27.67 M1.11 M2.88 M276.79 K45.97 M6.41 M — Free cash flow 4.82 M-8.69 M-11.77 M-7.42 M-14.06 M9.04 M 0