Financials
Value 20212022202320242025 TTM Cash from investing activities -20.02 K-13.35 M6.36 M2.94 M-34.13 M -34.13 M Cash from financing activities 24.2 M18.24 M6.12 M26.58 M35.08 M 35.08 M Free cash flow -8.64 M-16.76 M-21.24 M-11.5 M-24.84 M -24.84 M