Financials
Value 20212022202320242025 TTM Cash from investing activities —104.85 M-191 K-2.41 M-5.08 M -5.08 M Cash from financing activities —-104.85 M4.55 M14.41 M9.25 M 9.25 M Free cash flow —-402.68 K-3.84 M-8.24 M-8.23 M -8.23 M