Financials
Value 202020212022202320242025 TTM Cash from investing activities -354.41 K-26.17 K-47.7 M18.82 M19.78 M5.57 M 623.22 K Cash from financing activities 29.61 M44.98 M-76.32 K-1.14 M-1.1 M-1.6 M -1.14 M Free cash flow -2.12 M-2.63 M-3.06 M-4.83 M-11.46 M1.58 M -4.47 M