Financials
Value 202020212022202320242025 TTM Cash from investing activities —28.34 K-2.16 M1.85 M-653.54 K-1.9 M -1.9 M Cash from financing activities 577.38 K12.87 M25.05 K13.58 M11.45 M8.77 M 8.77 M Free cash flow -502.02 K-1.84 M-5.09 M-9.14 M-11.24 M-16.22 M -14.62 M