Financials
Value 202020212022202320242025 TTM Cash from investing activities -53.53 M53.77 M13.95 M-10.12 M-49.16 M-1.82 M — Cash from financing activities -9.05 M-6.11 M-9.85 M-10.52 M-15.44 M-6.82 M — Free cash flow -30.95 M-61.17 M859 K18.93 M26.73 M20.9 M —