Financials
Value 20202021202220232024 TTM Cash from investing activities 181.07 K-6.42 M-9.14 M-3.85 M-1.74 M 65.47 K Cash from financing activities 362.57 K18.02 M-1.37 M-878.79 K-352.96 K -933.51 K Free cash flow 929.61 K-816.53 K536.54 K2.33 M-60.27 K -1.17 M