Financials
Value 202020212022202320242025 TTM Cash from investing activities -946 K-2.34 M-1.75 M-2.12 M-1.24 M-3.13 M -3.13 M Cash from financing activities -1.35 M12.4 M2.09 M2 M-6.59 M-595 K -595 K Free cash flow 3.5 M-8.72 M-10.75 M-462 K10.21 M18.4 M 18.4 M