Financials
Value 202020212022202320242025 TTM Cash from investing activities 648 K21.37 M1.17 M1.29 M20.05 M1.63 M 1.63 M Cash from financing activities 74 K21.73 M3.73 M15.61 M8.64 M8.22 M 8.22 M Free cash flow 2.59 M9.84 M24 K14.91 M2.5 M5.68 M 5.68 M