Financials
Value 202020212022202320242025 TTM Cash from investing activities -657 K-1.16 M-21.48 M-4.03 M-2.8 M-40.48 M -40.41 M Cash from financing activities 3.48 M1.75 M20.93 M137 K-2.45 M48.74 M 48.07 M Free cash flow -3.53 M471 K-708 K5.17 M3.38 M-10.24 M -9.45 M