Financials
Value 202020212022202320242025 TTM Cash from investing activities -46.09 K-2.74 M-4.65 M-1.05 M-21.6 M-89.08 M -89.08 M Cash from financing activities 11.55 M15.53 M17.47 M3.87 M67.57 M117.44 M 117.44 M Free cash flow -2.78 M-7.39 M-19.35 M-13.97 M-17.92 M-48.01 M -47.87 M