Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.04 M-366.17 K-2.8 M-814.6 K-1.33 M-949.79 K -949.79 K Cash from financing activities 23.22 M2.71 M279.49 K-218.87 K-248.53 K-221.35 K -221.35 K Free cash flow -1.66 M-4.67 M-8.17 M-5.68 M-1.62 M-470.11 K -470.11 K