Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.58 M-6.43 M-34.64 M19.33 M4.31 M-2.6 M — Cash from financing activities 556 K-1.4 M-2.7 M44.44 M-22.63 M-8.41 M — Free cash flow -6.53 M19.23 M1.9 M-2.23 M786 K-45.5 M -71.36 M