Financials
Value 202020212022202320242025 TTM Cash from investing activities -125 K-2.85 M-7.88 M-1.2 M-575 K-2.73 M -2.69 M Cash from financing activities 10.09 M7.59 M4.42 M634 K-616 K3.66 M 202 K Free cash flow -2.28 M-3.25 M-2.55 M244 K871 K-130 K -390 K