Financials
Value 202020212022202320242025 TTM Cash from investing activities -312 K-269 K-5.59 M4.46 M-775 K-68 K -37 K Cash from financing activities 1.88 M16.34 M-3.66 M379 K3.75 M630 K 2.42 M Free cash flow -1.8 M-2.75 M-2.99 M-3.24 M-3.87 M-1.38 M -1.45 M