Financials
Value 202020212022202320242025 TTM Cash from investing activities 12.69 M-46.26 M-4.22 M-2.01 M17.48 M30.48 M 30.48 M Cash from financing activities 234.83 M4.46 M2.42 M21.4 M1.36 M833 K 833 K Free cash flow -31.54 M-45.06 M-46.4 M-38.42 M-32.98 M-32.83 M -32.83 M