Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.28 M-12.64 M8.97 M690.31 K-24.78 K-76.45 K -40.21 M Cash from financing activities 75.23 M576.25 K102.27 K-27.42 K-33.38 K-331.68 K 48.91 M Free cash flow -14.75 M-22.1 M-14.31 M-10.77 M865.5 K-2.79 M -5.34 M