Financials
Value 202020212022202320242025 TTM Cash from investing activities 254.44 K-301.52 K-265.47 K-3.88 M-421-107.01 K -304.5 K Cash from financing activities 2.8 M15.5 M16.29 M2.96 M10.55 M6.63 M 19.24 M Free cash flow -2.88 M-9.4 M-10.51 M-9.54 M-8.42 M-6.94 M -7.38 M