Financials
Value 20212022202320242025 TTM Cash from investing activities -265.48 K-1.44 M1.14 M-45.4 K517.87 K 517.87 K Cash from financing activities 59.74 M19.06 M5.86 M14.46 M21.2 M 21.2 M Free cash flow -29.48 M-34.52 M-21.44 M-15.78 M-16.68 M -16.68 M