Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.45 M-2.9 M-6.67 M-9.24 M-4.73 M-9.65 M -15.1 M Cash from financing activities 44.78 K87 K3.99 M2.85 M-612 K-491 K 881 K Free cash flow 20.13 M3.07 M11.63 M-10.15 M-461 K3.69 M -4.65 M