Financials
Value 202020212022202320242025 TTM Cash from investing activities -75.33 K-45 K-202.58 K-24.72 K-12.8 K-3.02 M -3.02 M Cash from financing activities 11.88 M13.4 M8.4 M7.52 M7.81 M5.73 M 5.73 M Free cash flow -10.82 M-11.17 M-12.97 M-9.58 M-7.42 M-8.2 M -5.2 M