Financials
Value 202020212022202320242025 TTM Cash from investing activities -68.51 K-14.94 K-84.19 K-21.39 K20.03 K72.92 M — Cash from financing activities 18.14 M10.72 M4.16 M28.82 M5 398322.98 M — Free cash flow -39.31 M-57.5 M-46.54 M-34.9 M-31.11 M-1.39 M -18.06 M