Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.1 M-590.49 K-6.96 M-548.08 K-827.77 K-823.98 K -705 K Cash from financing activities 5.47 M-954.73 K5.92 M-1.72 M-1.76 M-70.85 K -288.09 K Free cash flow 124.99 K1.39 M1.99 M784.66 K3.86 M109.89 K -69.75 K