Financials
Value 202020212022202320242025 TTM Cash from investing activities -243.09 K—-1.79 M-1.34 M-42.07 K-87.4 M -99.12 M Cash from financing activities 2.1 M—-267.73 K-1.07 M4.14 M109.48 M 103.68 M Free cash flow -1.31 M—-249.28 K-4.75 M2.22 M-9.69 M -20.02 M