Financials
Value 202020212022202320242025 TTM Cash from investing activities 751.3 K-805.97 K-1.72 M-360.19 K0-1.21 M -1.21 M Cash from financing activities 9.57 M10 M4.01 M3.92 M1.98 M4.64 M 4.64 M Free cash flow -5.54 M-7.62 M-7.52 M-4.26 M-1.81 M-2.99 M -2.99 M