Financials
Value 202020212022202320242025 TTM Cash from investing activities -779.02 K-42.5 M-8.36 M-776.97 K-94.08 K-74.66 K -3.42 M Cash from financing activities 26.26 M45.61 M17.86 M8.55 M9.54 M36.2 M 37.46 M Free cash flow -2.26 M-12.46 M-20.11 M-10.96 M-6.57 M-10.03 M -11.45 M