Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.96 M-2.25 M-6.38 M-11.1 M-2.85 M-10.42 M -10.42 M Cash from financing activities -4.14 M6.23 M4.54 M-3.26 M-907 K6.59 M 6.59 M Free cash flow 165 K-2.57 M-1.24 M14.73 M13.93 M9.17 M 9.17 M