Financials
Value 20212022202320242025 TTM Cash from investing activities -141.36 K-183.76 K4.22 M-1.91 M-15.88 M -24.08 M Cash from financing activities 8.43 M2.91 M-550 K9.01 M40.99 M 40.11 M Free cash flow -14.73 M-13.25 M-10.3 M-6.33 M-23.54 M -10.47 M