Financials
Value 202020212022202320242025 TTM Cash from investing activities -19 K-43 K-2 0000—-96.75 M -96.75 M Cash from financing activities 48.45 M23.09 M23.09 M0—170.31 M 170.31 M Free cash flow -7.74 M-18.8 M-10.91 M-5.01 M—-88.42 M -88.42 M