Financials
Value 20212022202320242025 TTM Cash from investing activities —-2.9 M-2.18 M12.39 K442.19 K 463.96 K Cash from financing activities —4.09 M-488.83 K-3.01 M7.43 M 7.86 M Free cash flow —1.7 M-832.14 K430.48 K-3.42 M -3.36 M