Financials
Value 20202021202220232024 TTM Cash from investing activities 5 722-261.37 K-3.43 M12.45 M3.13 M — Cash from financing activities 93.64 K-29.92 M9.9 M20.55 M11.21 M 26.31 M Free cash flow 22.64 M-243.02 K-28.85 M-31.5 M-21.31 M -15.87 M