Financials
Value 202020212022202320242025 TTM Cash from investing activities -519 K-31.56 M28.92 M-1.16 M-539 K-27 K — Cash from financing activities 4.46 M38.76 M1.87 M1.11 M9 0003.1 M — Free cash flow -4.97 M912 K-15.01 M-3.72 M-14.58 M-9.45 M —