Financials
Value 2022202320242025 TTM Cash from investing activities -2.62 M193.47 M44.28 M-55.59 M -54.87 M Cash from financing activities 328.13 K-196.89 M-43.67 M175.79 M 151.24 M Free cash flow 396.48 K5.54 M-2.28 M-83.33 M -71.68 M