Financials
Value 202020212022202320242025 TTM Cash from investing activities 352 K000-29.22 M-1.5 M — Cash from financing activities 19.16 M-9.43 M1.21 M-1.22 M6.16 M29.1 M — Free cash flow -5.55 M-4.97 M614 K-1.82 M-1.56 M7.05 M -79.83 M