Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.2 M-3.73 M-7.29 M-926 K1.2 M1.07 M 1.07 M Cash from financing activities -28.43 K2.34 M-20.3 K-30 K1.83 M-1.34 M -1.34 M Free cash flow 7.22 M-580.3 K1.85 M-1.91 M-3.32 M-2.35 M -2.32 M