Financials
Value 202020212022202320242025 TTM Cash from investing activities 74.04 M25.74 M-131.96 K—-19.17 K-19.17 K — Cash from financing activities 74.27 M-24.95 M15.2 M14.03 M12.85 M12.47 M — Free cash flow 218.71 K-725.62 K-11.22 M-7.29 M-18.34 M-8.27 M -8.27 M