Financials
Value 202020212022202320242025 TTM Cash from investing activities -44.14 K2.19 M-584.16 K11.67 K0— — Cash from financing activities 5.53 M24.9 M18.18 M-1.34 M7.67 M10.58 M 8.63 M Free cash flow -3.89 M-11.46 M-17.15 M-14.09 M-7.73 M-8.14 M -8.01 M