Financials
Value 202020212022202320242025 TTM Cash from investing activities 137 K3.21 M-2.32 M104 K-451 K-1.1 M -1.34 M Cash from financing activities 3.36 M5.18 M641 K1.41 M4.59 M24.89 M 13.88 M Free cash flow -3.01 M-5.95 M-5.08 M-1.84 M-3.23 M-21.66 M -17.62 M