Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.75 M-21.42 M-13.58 M-4.86 M-56.98 M23.5 M 23.5 M Cash from financing activities 80.81 M3.77 M-575 K8.17 M60.52 M27.93 M 27.93 M Free cash flow -20.21 M-28.09 M2.98 M-57.06 M-53.72 M-23.85 M -23.85 M