Financials
Value 202020212022202320242025 TTM Cash from investing activities 4.01 M-8.6 M100.94 M6.46 M-16.85 M-29.61 M -29.61 M Cash from financing activities 13.6 M-540 K-37.93 M-39.96 M11.44 M32.75 M 32.75 M Free cash flow 1.67 M-6.74 M-14.57 M-26.19 M1.07 M-3 000 -3 000