Financials
Value 202020212022202320242025 TTM Cash from investing activities -168.46 K-192.87 K-292.47 K1.43 M-67.14 K-317.21 K -411.32 K Cash from financing activities 3.33 M-1.93 M1.96 M219.8 K-300.29 K-1.1 M 2.42 M Free cash flow -3.55 M2.12 M-1.59 M-395.68 K-857.02 K1.41 M -2.76 M