Financials
Value 202020212022202320242025 TTM Cash from investing activities 5.44 M-1.2 M-35.07 M5.11 M-116.18 M97.48 M 97.48 M Cash from financing activities 33.38 M20.23 M4.87 M25.58 M152.77 M248.89 M 248.89 M Free cash flow -10.6 M-18.01 M2.92 M-26.91 M-41.16 M-72.72 M -72.72 M