Financials
Value 20202021202220232024 TTM Cash from investing activities -238.76 K-324.35 K-151.71 K-156.56 K-56.96 K -94.52 K Cash from financing activities 15.26 M-234.72 K-94.79 K3.12 M5.3 M 8.04 M Free cash flow -8.21 M-5.89 M-5.67 M-6.32 M-8.54 M -7.37 M