Financials
Value 202020212022202320242025 TTM Cash from investing activities 9 065-82.79 K-51.69 K-1.52 M-1.89 M-3.23 M -2.51 M Cash from financing activities 741.76 K10.73 M4.09 M3.47 M3.05 M8.86 M 8.52 M Free cash flow -798.74 K-4.1 M-5.1 M-3.23 M-3.42 M-3.82 M -4.49 M