Financials
Value 20212022202320242025 TTM Cash from investing activities —-16.01 M11.66 M-37 M2.05 M 2.05 M Cash from financing activities 41.09 M-204.77 K8.41 M103.48 M108.46 M 108.46 M Free cash flow -14.3 M-17.59 M-18.1 M-19.15 M-27.8 M -27.8 M