Financials
Value 202020212022202320242025 TTM Cash from investing activities -396 K-396 K-536 K-257 K-8.48 M-32.74 M -18.4 M Cash from financing activities 733 K733 K-1.77 M-40 K4.58 M60.17 M 59.55 M Free cash flow 9.6 M-1.16 M14.18 M-8.53 M6.81 M2.12 M -19.11 M