Financials
Value 202020212022202320242025 TTM Cash from investing activities -517 K4.1 M-3.02 M-864 K-2.1 M-3.38 M -5.79 M Cash from financing activities -1.5 M-760 K-335 K-574 K2.87 M-240 K 1.85 M Free cash flow 2.12 M1.36 M6.26 M-1.99 M-1.5 M-484 K -97 K