Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.63 M-3.21 M-30.11 M-79.81 M78.44 M-18.74 M -18.74 M Cash from financing activities -25.18 M-24.3 M-20.89 M-124 K-103.07 M-44.92 M -44.92 M Free cash flow -33.03 M28.44 M-55.64 M-24.9 M93.44 M190.91 M 190.91 M