Financials
Value 202020212022202320242025 TTM Cash from investing activities 8 524-8.07 M4.4 M3.27 M-1.1 M0 0 Cash from financing activities 799.55 K10.19 M-2.12 M-56.38 K1.35 M3.18 M 3.18 M Free cash flow 142.28 K-736.4 K-4.35 M-3.17 M-705.73 K-3.16 M -3.16 M