Financials
Value 202020212022202320242025 TTM Cash from investing activities ——-6.54 M203.18 M-6.25 M-6.72 M -7.35 M Cash from financing activities —450 K5.03 M-74.07 M-63.96 M31.3 M 28.87 M Free cash flow —-1.24 M0-24.74 M-5.25 M-4.15 M -14.33 M