Financials
Value 20212022202320242025 TTM Cash from investing activities -760 K-760 K-5.26 M-18.65 K-237.72 K -172.77 K Cash from financing activities —-98.61 M6.86 M-690.44 K265.6 K 362.35 K Free cash flow —-103.68 K-1.91 M646.29 K-64.45 K -155.14 K