Financials
Value 202020212022202320242025 TTM Cash from investing activities —-2.02 M-1.56 M-59 K-761 K-943 K -943 K Cash from financing activities —120.62 M-878 K28.91 M16.04 M32.12 M 32.12 M Free cash flow -36.46 K-42.58 M-82.94 M-23.59 M-11.97 M-11.73 M -11.73 M