Financials
Value 202020212022202320242025 TTM Cash from investing activities 11.04 M11.04 M—-45.29 M-70.31 M10.79 M 10.79 M Cash from financing activities 109.58 M-449 K-449 K33.02 M133.52 M53.81 M 53.81 M Free cash flow -15.21 M-28.91 M-28.42 M-39.53 M-47.27 M-62.34 M -62.34 M