Financials
Value 202020212022202320242025 TTM Cash from investing activities -287.33 K-552.94 K-644.89 K-1.09 M-1.84 M-23.73 M -64.34 M Cash from financing activities 8.43 M4.06 M8.75 M11.16 M9.15 M46.69 M 104.01 M Free cash flow -4.23 M-6.58 M-7.87 M-8.75 M-3.49 M-37.48 M -33.6 M