Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.5 M-19.12 M-2.94 M-240.71 K387.55 K-367.48 K -343.02 K Cash from financing activities 18.78 M64.6 M-6.95 M7.38 M4.4 M9.3 M 2.25 M Free cash flow -13.28 M-17.83 M-18.58 M-9.89 M-5.11 M-8.62 M -5.5 M