Financials
Value 202020212022202320242025 TTM Cash from investing activities -110.38 M-9.62 M-93.72 M-28.14 M-33.24 M-1.24 M -1.24 M Cash from financing activities 239.15 M-68.7 M701 K43.97 M17.85 M2.02 M 2.02 M Free cash flow 920 K11.02 M6.17 M7.34 M6.37 M11.22 M 11.22 M