Financials
Value 202020212022202320242025 TTM Cash from investing activities -818.79 K-15.11 M3.91 M1.52 M4.19 M20.5 M -7.58 M Cash from financing activities 2.11 M8.43 M1.95 M-171.34 K-1.18 M12.07 M — Free cash flow -250.17 K5.62 M-7.81 M-439.68 K-108.1 K-6.48 M -3.36 M