Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.13 M-15.55 M-89 K5.54 M-8.67 M7.9 M 39 K Cash from financing activities 679 K13 K-1.06 M-114 K23.87 M4.03 M 144 K Free cash flow 6.92 M6.15 M468 K-9.59 M-19.45 M-9.02 M -2.62 M