Financials
Value 202020212022202320242025 TTM Cash from investing activities -20.76 M-32.62 M11.76 M-23.9 M-21.91 M-99.1 M — Cash from financing activities 2.68 M-223 K6.64 M-13.52 M-925 K45.48 M — Free cash flow -13.91 M19.48 M51.11 M25.72 M30.98 M32.48 M -295.22 M