Financials
Value 20212022202320242025 TTM Cash from investing activities -768.35 K-998.19 K-401.68 K-906.67 K-929.48 K -1.01 M Cash from financing activities 9.35 M5.1 M10.21 M9.49 M9.89 M 9.77 M Free cash flow -6.71 M-6.34 M-7.85 M-8.92 M-6.5 M -6.87 M