Financials
Value 202020212022202320242025 TTM Cash from investing activities -448.88 K-1.19 M-1.26 M-256.17 K149-114.21 K -58.36 K Cash from financing activities -3.19 M3 M4 M-5.74 M-1.26 M2.1 M 4.28 M Free cash flow -2.22 M-4.42 M-3.44 M5.6 M6.03 M-6.73 M -4.11 M