Financials
Value 20202021202220232025 TTM Cash from investing activities -393 K-409 K816 K9.03 M94 K 94 K Cash from financing activities 23.84 M205 K1.44 M8.85 M4.45 M 4.45 M Free cash flow -13.32 M-8.45 M-14.65 M-9.46 M-10.83 M -10.83 M