Financials
Value 202020212022202320242025 TTM Cash from investing activities -28.15 M3.34 M6.77 M6.62 M3.39 M3.44 M — Cash from financing activities 98.98 M315 K-11.16 M-4.59 M1.12 M2.37 M — Free cash flow -38.77 M-23.27 M-7.87 M-3.52 M-9.21 M-4.24 M —