Financials
Value 202020212022202320242025 TTM Cash from investing activities 13.37 M-8.12 M-2.18 M-4.04 M4.02 M-3.08 M -3.08 M Cash from financing activities -3.01 M-352 K389 K-2.9 M-3.25 M-2.54 M -2.54 M Free cash flow -1.8 M-1.21 M-15.58 M2.48 M7.74 M-3.62 M -3.62 M