Financials
Value 202020212022202320242025 TTM Cash from investing activities -15.41 K01 M-160.52 K-394.3 K-210.35 K -210.35 K Cash from financing activities 54.91 K2 849540.05 K-1.42 M-18.39 K-87.83 K -87.83 K Free cash flow 48.41 K-126.05 K2.92 M-135.77 K1.93 M-219.98 K -219.98 K