Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.06 M-1.25 M-2.5 M-7.87 M-4.43 M-4.68 M -4.68 M Cash from financing activities -16.04 M-16.68 M-17.78 M-20.19 M-44.67 M-20.65 M -20.65 M Free cash flow 27.77 M-791 K46.85 M46.67 M24.93 M14.92 M 14.92 M