Financials
Value 20212022202320242025 TTM Cash from investing activities -1.36 M-37.48 M-4.69 M970 K12.03 M -3.9 M Cash from financing activities 76.25 M-4.15 M-2.92 M-262 K1.42 M 2.35 M Free cash flow -814 K-6.77 M-15.73 M-720 K6.73 M -3.19 M