Financials
Value 202020212022202320242025 TTM Cash from investing activities 20.89 M-14.92 M-750 K-346 K-178 K-389 K -389 K Cash from financing activities 561 K2.43 M-6.3 M-458 K4.3 M350 K 350 K Free cash flow 2.98 M-11.91 M3.68 M-3.65 M-3.71 M-1.5 M -1.28 M