Financials
Value 20202021202220232024 TTM Cash from investing activities -1.28 M-11.61 M-2.57 M-3.38 M-99.29 M -134 M Cash from financing activities 11.99 M3.7 M-285.33 K-353.79 K110.03 M 158.78 M Free cash flow 185.75 K521.87 K202.68 K-101.38 K-8.42 M -21.52 M