Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.85 M-3.74 M-3.34 M-1.13 M-1.85 M-3.78 M -3.45 M Cash from financing activities 1.33 M16.73 M-190.42 K-188.18 K-220.71 K-253.45 K -255.09 K Free cash flow 2.25 M-125.74 K-2.69 M6.68 M1.26 M807.22 K 526.99 K