Financials
Value 202020212022202320242025 TTM Cash from investing activities 105.76 K14.62 M4.27 M6.33 M146.21 K25.14 M 7.9 M Cash from financing activities 9.33 M109.72 M1.07 M11.11 M36.83 M-4.22 M 23.37 M Free cash flow 1.82 M-15.95 M-48.24 M-88.68 M-21.84 M-30.04 M -35.14 M