Financials
Value 20202021202220232024 TTM Cash from investing activities 3.28 M-653.05 K-2.62 M-2.27 M-5.93 M -1.46 M Cash from financing activities 262.93 K7.64 M4.7 M9.25 M16.67 M 1.54 M Free cash flow 691.67 K-6.62 M-7.83 M-7.11 M-15.35 M -8.13 M