Financials
Value 202020212022202320242025 TTM Cash from investing activities -3.27 M-11.59 M-9.54 M-18.56 M-5.14 M-6.12 M -6.07 M Cash from financing activities 10.74 M294 K8.5 M-6.54 M-5.62 M-5.7 M -5.94 M Free cash flow 6.02 M794 K1.14 M8.49 M6.63 M4.68 M 6.41 M