Financials
Value 202020212022202320242025 TTM Cash from investing activities -357.33 K-2.76 M-5.42 M-419.46 K-2.82 M-244.02 K — Cash from financing activities -1.13 M012.93 M08.41 M6.56 M — Free cash flow -5.19 M-3.55 M-3.21 M-2.98 M-3.09 M-5.43 M 3.37 M