Financials
Value 202020212022202320242025 TTM Cash from investing activities -217.76 K-215.06 K-348.56 K-244.89 K-1.01 M-464.13 K -248.88 K Cash from financing activities -576.93 K1.87 M0505.5 K1.01 M17.4 M 17.36 M Free cash flow 1.41 M465.03 K-1.35 M-823.32 K4.06 M-9.91 M -11.85 M