Financials
Value 202020212022202320242025 TTM Cash from investing activities -245.99 K-13.15 M-2.47 M-330.05 K-4 9395.82 M 5.82 M Cash from financing activities 6.71 M28.21 M-955.56 K12.8 M15.61 M21.38 M 21.38 M Free cash flow -2.73 M-7.66 M-6.41 M-12.42 M-19.17 M-26.11 M -22.56 M