Financials
Value 202020212022202320242025 TTM Cash from investing activities -39.97 M-40.72 M-54.76 M-62.08 M-45.32 M-58.72 M -58.72 M Cash from financing activities 19.05 M9.48 M31.71 M31.42 M7.14 M17.27 M 17.27 M Free cash flow -13.92 M-9.5 M-24.22 M-30.33 M-9.12 M-18.5 M -18.5 M