Financials
Value 202020212022202320242025 TTM Cash from investing activities -862 K-2.52 M78 K-526 K-3.78 M-639 K -621 K Cash from financing activities -668 K-3.98 M-3.8 M-3.58 M-3.66 M-3.38 M -2.19 M Free cash flow 18.27 M-480 K4.28 M8.46 M5.7 M1.73 M 5.72 M