Financials
Value 20212022202320242025 TTM Cash from investing activities -4.51 M-2.33 M-3.71 M302.19 K1.67 M 1.67 M Cash from financing activities 8.51 M8.17 M2.04 M819.67 K12.53 M 12.53 M Free cash flow -7.15 M-6.63 M-4.09 M1.81 M-15.78 M -15.78 M