Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.93 M-1.57 M-361.03 K-558.67 K-2.78 M6.96 M — Cash from financing activities 966.07 K129.85 K27.29 K56.82 K-12.84 K2.34 M — Free cash flow -4.27 M-5 M-2.12 M1.23 M-458.28 K-2.26 M —