Financials
Value 20202021202220232024 TTM Cash from investing activities 3.16 M-1.63 M-2.87 M-2.67 M-19.74 M -20.53 M Cash from financing activities 843.43 K-636.17 K7.46 M-1.47 M29.3 M 94.62 M Free cash flow 1.57 M-162.49 K-5.89 M-1.66 M-9.59 M -6.26 M