Financials
Value 20212022202320242025 TTM Cash from investing activities -1.83 M-1.3 M-280 K-16 K-560 K -560 K Cash from financing activities 71.8 M19.97 M-121 K94.28 M56.1 M 56.1 M Free cash flow -24.05 M-32.72 M-34.7 M-27.04 M-38.9 M -38.9 M