Financials
Value 202020212022202320242025 TTM Cash from investing activities -298.36 K-359.75 K-388.96 K980.94 K-1.03 M-2.72 M -2.72 M Cash from financing activities 8.72 M14.4 M04.79 M6.85 M7.92 M 7.92 M Free cash flow -4.81 M-6.3 M-8.21 M-5.73 M-5.08 M-4.67 M -4.56 M