Financials
Value 20212022202320242025 TTM Cash from investing activities -6 4490-176.5 K-211.95 K-24.87 M -821.93 K Cash from financing activities 1.04 M1.81 M1.61 M8.12 M70.23 M 58.02 M Free cash flow -813.21 K-1.08 M-2.33 M-3.49 M-32.39 M -37.14 M