Financials
Value 202020212022202320242025 TTM Cash from investing activities -163 K-227 K-416 K-18.66 M17.25 M-16.07 M -6.55 M Cash from financing activities 2.17 M1.96 M25.76 M7.32 M139 K625 K 19.7 M Free cash flow -2.19 M-2.93 M1.09 M8.65 M1.01 M-12.39 M -12.19 M