Financials
Value 20212022202320242025 TTM Cash from investing activities -58.08 M1.71 M-195.07 K-95.01 M-40.65 M — Cash from financing activities 58.89 M33.27 M312.79 K209.63 M176.41 M — Free cash flow -779.48 K-20.28 M-4.05 M-13.85 M7.88 M —