Financials
Value 20202021202220232024 TTM Cash from investing activities 117.74 K-826.82 K-21.5 K-13.76 M-798.27 K -1.95 M Cash from financing activities 12.46 M7.27 M35.05 M12.69 M5.05 M 10.98 M Free cash flow 11.5 M-7.68 M-15.25 M-23.14 M-8.98 M -8.75 M