Financials
Value 202020212022202320242025 TTM Cash from investing activities -261.26 K-1.62 M-874.75 K-3.97 M-161.48 K-71.95 M — Cash from financing activities 20.86 M21.46 M21.51 M19.79 M17.55 M91.05 M 91.05 M Free cash flow -6.65 M-22.1 M-25.65 M-27.81 M-30.28 M-14.77 M -14.77 M