Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.77 M-10.3 M-15.48 M-4.73 M-2.09 M-502.89 K -458.29 K Cash from financing activities 6.3 M7.48 M4.74 M6.62 M5.41 M2.38 M 188.14 K Free cash flow 5.42 M2.57 M-2.67 M-1.99 M-3.24 M-1.79 M 341.97 K