Financials
Value 202020212022202320242025 TTM Cash from investing activities 12.24 M-6.52 M-8 M-11.76 M-9.45 M-9.95 M -8.88 M Cash from financing activities 13.1 M-561 K2.42 M3.47 M3.39 M-2.2 M -8.56 M Free cash flow -15.87 M379 K-10.89 M2.58 M-9.05 M-2.02 M 171 K