Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.13 M-2.37 M-3.33 M-4.76 M-5.56 M-5.74 M -3.99 M Cash from financing activities -6.41 M3.73 M6.82 M-17.97 M-5.98 M-5.85 M -2.05 M Free cash flow 7.8 M-401 K-3.79 M26.96 M33.13 M-841 K 8.84 M