Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.37 M-2.81 M-3.66 M-5.07 M-3.72 M-13.15 M — Cash from financing activities 4.59 M15.59 M14.46 M3.7 M2.63 M13.33 M — Free cash flow -3.12 M-8.05 M-4.47 M-3.79 M-2.43 M-3.37 M —