Financials
Value 202020212022202320242025 TTM Cash from investing activities -44.89 K35.52 K836.17 K-94.64 K601.28 K37.16 K -2 523 Cash from financing activities 1.5 M6.31 M135.42 K-5 968-208.77 K1.23 M 2.02 M Free cash flow -1.57 M-2.06 M-2.41 M-1.68 M-1.37 M-1.79 M -2.29 M