Financials
Value 20212022202320242025 TTM Cash from investing activities -3.33 M-465.84 K-449.8 K5.67 M-13.86 M — Cash from financing activities 54.79 M54.79 M2.2 M47.15 M845.02 M 845.02 M Free cash flow -28.97 M-25.23 M-21.64 M-14.37 M-106.07 M -104.88 M