Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.4 M-1.03 M-6.46 M7.12 M17.29 M12.94 M 12.94 M Cash from financing activities 16.32 M36.28 M-100.53 K-4.6 M-19.02 M-7.52 M -7.52 M Free cash flow -4.3 M-18.7 M-10.49 M653.32 K282.83 K2.89 M 2.89 M