Financials
Value 202020212022202320242025 TTM Cash from investing activities -45.83 M-139.32 M-11.57 M-11.4 M5.73 M12.6 M 12.6 M Cash from financing activities 210.98 M-2.38 M-1.69 M-313 K-6.21 M-220 K -220 K Free cash flow -46.04 M-94.36 M-8.18 M-5.28 M-3.78 M-9.98 M -9.98 M