Financials
Value 202020212022202320242025 TTM Cash from investing activities -860 K-623 K-1.08 M-1.2 M-467 K-558 K -510 K Cash from financing activities -144 K-423 K-165 K-356 K-232 K-107 K -122 K Free cash flow 631 K1.41 M-1.05 M2.43 M-995 K-2.23 M -4.56 M