Financials
Value 202020212022202320242025 TTM Cash from investing activities 41.13 K-13.6 M8.2 M112.25 M6.9 M8.84 M -21.05 M Cash from financing activities 246.73 K-536.44 K10.65 M113.42 M36.91 M20.24 M 13.27 M Free cash flow 4.85 M8.86 M-8.15 M11.63 M12.66 M24.71 M 22.27 M