Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.91 M-2.48 M-11.99 M-3.14 M6.29 M-274 K 2.2 M Cash from financing activities -989 K109 K-1.18 M-426 K-159 K-31 K 104 K Free cash flow -5.27 M-6.23 M-5.04 M1.82 M-3.16 M-5.56 M -6.87 M