Financials
Value 202020212022202320242025 TTM Cash from investing activities 5.33 M-1.19 M-709 K-2.04 M-9.05 M-23.62 M -23.62 M Cash from financing activities -25 K54.87 M5.89 M46.09 M99.89 M114.93 M 114.93 M Free cash flow -8.4 M-12.89 M-18.8 M-19.02 M-80.96 M-66.75 M -66.75 M