Financials
Value 202020212022202320242025 TTM Cash from investing activities 37.93 M3.91 M1.03 M2.86 M5.79 M-136.97 M — Cash from financing activities -520 K441 K-130 K-108 K-10.6 M-20.69 M — Free cash flow -6.4 M-12.94 M1.78 M-3.63 M55.75 M157.99 M —