Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.14 M-227 K-27.12 M-2.48 M-738 K-223 K -223 K Cash from financing activities 2.85 M605 K15.7 M-1.34 M-6.49 M-116 K -116 K Free cash flow 4.31 M-3.35 M217 K1.7 M2.43 M4.34 M 4.34 M