Financials
Value 20202021202220232024 TTM Cash from investing activities 12.63 M-43.19 M4.95 M12.21 M-42.16 M — Cash from financing activities -739 K49.93 M-12.91 M-7.5 M9.57 M — Free cash flow -13.52 M-43.9 M5.28 M-7.06 M-26.12 M —