Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.77 M-2.81 M608.47 K-511.25 K-11.56 M-5.17 M — Cash from financing activities 18.04 M2 M1 M600 K7 M13.76 M — Free cash flow 8.1 M9.02 M-1.21 M3.62 M-4.01 M77.1 K -2.68 M