Financials
Value 20202021202220232024 TTM Cash from investing activities 65.9 M-3.24 M-234.26 K-2.43 M-1.51 M — Cash from financing activities 70.04 M11.46 M12.4 M9.29 M2.18 M — Free cash flow -571.57 K-14.66 M-13.53 M-13.07 M-2.62 M —