Financials
Value 20202021202220232024 TTM Cash from investing activities -722.52 K-11.68 M-12.11 M723.86 K1.01 M 628.94 K Cash from financing activities 6.07 M75.45 K42.94 K91.06 K-408.66 K — Free cash flow 12.1 M-7.41 M-1.88 M-773.36 K1.28 M -4.03 M