Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.77 M-8.69 M-8.28 M-10.18 M-8 M-29.43 M -9.57 M Cash from financing activities -5.58 M4.9 M-805.41 K-1.89 M-14.19 M24.61 M -6.83 M Free cash flow 14.99 M798.94 K8.28 M21.07 M18.68 M-2.22 M 9.6 M