Financials
Value 202020212022202320242025 TTM Cash from investing activities -10.13 M-54.06 M-333.72 M-28.75 M-16.83 M-12.89 M -13.61 M Cash from financing activities 9.64 M198.83 M203.15 M15.87 M9.68 M23.7 M -888 K Free cash flow -4.91 M-1.73 M-41.52 M380 K-29.11 M-27.07 M -28.73 M