Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.43 M-5.22 M-9.41 M-2.13 M200.39 K231.59 K — Cash from financing activities 1.13 M10.65 M20.94 M17.12 M4.71 M3.3 M — Free cash flow 4.91 M979.16 K-19.19 M-1.19 M-3.33 M-1.31 M —