Financials
Value 202020212022202320242025 TTM Cash from investing activities -594.58 K-1.63 M-2.81 M-2.38 M2.55 M-968.03 K -968.03 K Cash from financing activities 293.92 K68.78 K0—-7 867-140.51 K -140.51 K Free cash flow 725.19 K2.32 M1.33 M1.16 M525.02 K3.02 M 3.02 M