Financials
Value 202020212022202320242025 TTM Cash from investing activities -32.83 M-44 K-872 K-181.2 M-836 K-241 K 272 K Cash from financing activities 12.95 M-22.93 M-24.19 M150.15 M-26.4 M-23.19 M -30.45 M Free cash flow 19.3 M45.56 M371 K30.41 M26.53 M22.98 M 30.26 M