Financials
Value 20202021202220232024 TTM Cash from investing activities 7 243-180.52 K-630.18 K-101.53 K-125.29 K 173 Cash from financing activities 120 K3.15 M3.83 M4.92 M8.03 M 582.63 K Free cash flow 492.31 K-7.17 M-3.66 M-4.79 M-5.83 M -4.66 M